Analisis Model Matematika Penyebaran Risiko Keuangan Pada Bank dan Invervensi Bank Sentral Sebagai Variabel Kontrol

Neza Aulia Gantari (2020) Analisis Model Matematika Penyebaran Risiko Keuangan Pada Bank dan Invervensi Bank Sentral Sebagai Variabel Kontrol. Skripsi thesis, UNIVERSITAS AIRLANGGA.

[img] Text (HALAMAN JUDUL)
1. HALAMAN JUDUL.pdf

Download (2MB)
[img] Text (ABSTRAK)
2. ABSTRAK.pdf

Download (387kB)
[img] Text (DAFTAR ISI)
3. DAFTAR ISI.pdf

Download (441kB)
[img] Text (BAB I)
4. BAB I PENDAHULUAN.pdf

Download (239kB)
[img] Text (BAB II)
5. BAB II TINJAUAN PUSTAKA.pdf
Restricted to Registered users only until 17 March 2024.

Download (429kB) | Request a copy
[img] Text (BAB III)
6. BAB III METODOLOGI PENELITIAN.pdf
Restricted to Registered users only until 17 March 2024.

Download (229kB) | Request a copy
[img] Text (BAB IV)
7. BAB IV PEMBAHASAN.pdf
Restricted to Registered users only until 17 March 2024.

Download (745kB) | Request a copy
[img] Text (BAB V)
8. BAB V PENUTUP.pdf
Restricted to Registered users only until 17 March 2024.

Download (385kB) | Request a copy
[img] Text (DAFTAR PUSTAKA)
9. DAFTAR PUSTAKA.pdf

Download (222kB)
[img] Text (LAMPIRAN)
10. Lampiran.pdf
Restricted to Registered users only until 17 March 2024.

Download (548kB) | Request a copy
[img] Text (PERMOHONAN EMBARGO)
11. PERMOHONAN EMBARGO.pdf
Restricted to Registered users only

Download (250kB) | Request a copy
Official URL: http://www.lib.unair.ac.id

Abstract

Banks are continually faced a lot of risks. One of them called Insolvency Risk or the risk arising from a dramatic decline in the value of bank assets which causes a decrease in capital bank that is unable to compensate. This risk may cause the bank become bankrupt. In this thesis, the analysis of the financial bank risk analyzed and transmitted through bank speculative. Based on the analysis of the model, there are two equilibriums, that are the non endemic equilibrium and the endemic equilibrium.

Item Type: Thesis (Skripsi)
Additional Information: KKC KK MPM. 02-21 Gan a
Uncontrolled Keywords: Mathematical Model, Financial Bank Risk, Asset Exchange between Banks, Stability, Optimal Control.
Subjects: Q Science > QA Mathematics > QA1-939 Mathematics
Divisions: 08. Fakultas Sains dan Teknologi > Matematika
Creators:
CreatorsNIM
Neza Aulia GantariNIM0816111233003
Contributors:
ContributionNameNIDN / NIDK
Thesis advisorFatmawatiNIDN0007047306
Thesis advisorCicik AlfiniyahNIDN0012048601
Depositing User: Tatik Poedjijarti
Date Deposited: 17 Mar 2021 07:10
Last Modified: 17 Mar 2021 07:10
URI: http://repository.unair.ac.id/id/eprint/104902
Sosial Share:

Actions (login required)

View Item View Item