Array
DOI:
https://doi.org/10.35794/jmbi.v7i3.31442Abstrak
ArrayReferensi
Amizuar, S.H., Ratnawati, A., dan Andati, T. (2017). The Integration of International Capital Market from Indonesian Investor’s Perspective: Do Integration Still Give Diversification Benefit. International Journal of Economics and Finance Vol. 9, No. 9
Brigham, Eugene F. dan Houston, Joul F. 2014. Dasar-Dasar Manajemen Keuangan. Jakarta: Salemba Empat
Candra, B.C., Mangantar, M dan Maramis, J.B. (2018). Integrasi Pasar Modal Inggris Terhadap Pasar Modal Perancis dan Indonesia (LQ45) Sebelum dan Sesudah Isu Brexit. Jurnal EMBA Vol. 6, No. 4 September 2018, Hal. 2128-2137
Do, Hung Quang, Lazlo Konya, dan M. Ishaq Batti. 2017. Capital Market Integration of Selected ASEAN Countries and Its Investment Implication. Journal of Economics and Development, Vol. 19, No. 2, pp.5-33
Dowling, G. R. 2004. Corporate Reputations: Should You Compete on Yours?. California Management Review
Karamoy, H., & Tulung, J. E. (2020). The Effect of Banking Risk on Indonesian Regional Development Bank. Banks and Bank Systems, 15(2), 130-137
Karamoy, H., & Tulung, J. E. (2020). The Effect of Financial Performance And Corporate Governance To Stock Price In Non-Bank Financial Industry. Corporate Ownership & Control, 17(2), 97-103
Mailanky, J. 2013. Integrasi Pasar Modal dan Beberapa Bursa di Dunia. Jurnal EMBA
Megginson. 1997. Corporate Finance Theory. Addison-Wesley Educational Publisher Inc
Oprea, O.R and Stoica, O. (2018. Capital Markets Integration and Economic Growth. Montenegrin Journal of Economics, Vol. 14, No. 3 (2018), 23-35
Puryati, Dwi dan Reni Marlina. 2013. Analysis of Capital Market Integration Region Asia. South East Asia Journal of Contemporary Business, Economics and Law, Vol. 2, Issue 1 (Juni)
Reilly, Frank K. dan Brown, Keith C. 2012. Investment Analysis and Portfolio Management. South Western Cengage Learning, USA
Shangquan, G. 2000. Economic Globalization: Trends, Risks, and Risk Prevention. Department of Economics and Social Affairs, United Nation
Sugiyono. 2013. Metode Penelitian Kuantitatif, Kualitatif dan R&D. Alfabeta CV, Bandung
Sunariyah. 2011. Pengantar Pengetahuan Pasar Modal. UPP STIM YKPN, Yogyakarta
Taliwuna, M.T., Saerang, D.P.E., & Murni, S. (2019) Analisis Pengaruh Faktor Internal Dan Eksternal Terhadap ROA Perbankan Di Indonesia, Jurnal Manajemen Bisnis Inovasi UNSRAT, Vol. 6 (3). Pp 188-212
Tandelilin, E. 2010. Portofolio dan Investasi Teori dan Aplikasi. Kanisius, Yogyakarta
Walewangko, E., Saerang, I.S., dan Maramis, J. B. (2018). Analisis Integrasi Saham Bursa Efek Indonesia dan Beberapa Bursa Efek Negara Asean Periode Januari 2016 – Juni 2017. Jurnal EMBA Vol. 6, No. 4, September 2018, Hal. 3923-3932




