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Státní ideologie a národnostní otázka v sovětské Střední Asii na příkladu proměny etnické identity Dunganů
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Věra Exnerová: Islám ve Střední Asii za carské a sovětské vlády. Na příkladu jednoho z center oblasti, Ferganské doliny.
Published 2009-12-01“… Věra Exnerová: Islám ve Střední Asii za carské a sovětské vlády. Na příkladu jednoho z center oblasti, Ferganské doliny. 1. vydání. …”
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Analisis Faktor Pendukung Aktifnya Saham Sektor Otomotif Pada Krisis Ekonomi Tahun 2008 (Studi Kasus pada Saham ASII dan IMAS)
Published 2011“…Astra International Tbk (ASII) and PT Indomobil Sukses International Tbk (IMAS). …”
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دور لجان التدقيق في جودة الأرباح " دراسة تجريبية على المصارف المدرجة في سوق دمشق للأوراق المالية"
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Development and External Validation a Novel Inflammation-Based Score for Acute Kidney Injury and Prognosis in Intensive Care Unit Patients
Published 2021-06-01“…We further developed and validated two nomograms based on the ASII and other informative clinical features of AKI and prognosis.Results: The ASII was calculated as 2.317×MLR+0.417×GPS+0.007×ALRI. …”
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KINERJA KEUANGAN BERDASARKAN PROSES BISNIS INTERNAL PERUSAHAAN DENGAN METODE BALANCED SCORECARD PADA PERUSAHAAN BERBAGAI SEKTOR DENGAN KAPITALISASI TERTINGGI DI BURSA EFEK INDONESI...
Published 2023-01-01“…This research design is a descriptive applied quantitative research with ASII, BBCA, and TLKM samples. The analytical method used is the Balanced Scorecard Method with four perspectives. …”
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Qualitative Heterogeneous Signal Drop on Chemical Shift (CS) MR Imaging: Correlative Quantitative Analysis between CS Signal Intensity Index and Contrast Washout Parameters Using T...
Published 2021-12-01“…ROIs were drawn both on CS and DCE images to obtain adrenal CS signal intensity index (ASII), absolute (AWO), and relative washout (RWO) values. …”
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PENGUKURAN RISIKO ASET TUNGGAL DAN PORTOFOLIO SAHAM LQ45 DENGAN VALUE AT RISK METODE SIMULASI MONTE CARLO
Published 2012“…Astra International Tbk. (ASII), 39% for PT. Bank Central Asia Tbk (BBCA), and 21% for PT. …”
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Penentuan Prioritas Pemilihan Saham LQ45 Dengan Metode Taguchi Loss Function
Published 2012“…It is found that amongst stocks in prioritizing stock selection on LQ45 only HEXA, UNTR and ASII that can beat return JCI throughout 2010 surpassed. …”
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Jakarta Islamic Index Stock Volatility and Forecasting Using Realized GARCH Model
Published 2021-03-01“…Estimation results for daily data show that the volatility of ASII, SMGR, TLKM, UNTR, and UNVR shares is influenced by the previous day's error and return volatility. …”
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ANALISIS PORTOFOLIO OPTIMAL MODEL CAPM DALAM PENGAMBILAN KEPUTUSAN INVESTASI SAHAM PADA IDXQ30
Published 2023-09-01“…Undervalued stocks consist of KLBF, ITMG, ASII, UNTR, BBCA, PTBA, BMRI and HRUM while overvalued stocks consist of MIKA, SIDO, HEAL, INTP, UNVR, HMSP, MNCN, CPIN, TLKM, TAPG, LSIP, ACES, SCMA and SRTG. …”
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Modeling of Jakarta Islamic Index Stock Volatility Return Pattern with Garch Model
Published 2020-12-01“…Estimation results for daily data show that the volatility of ASII, SMGR, TLKM, UNTR, and UNVR shares is influenced by the error and return volatility of the previous day. …”
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An investment decision-making model to predict the risk and return in stock market: An Application of ARIMA-GJR-GARCH
Published 2022-01-01“…The data analyzed are the best ten stocks according to the criteria that apply on the IDX, the period between 17 December 2018 to 14 December 2021, which includes the names of stock BBCA, BBNI, BBRI, BMRI, ASII, ICBP, PGAS, PTBA, TLKM, and UNVR. The analysis results show that of the best ten stocks, based on the ratio between the predicted values of the average return and Value-at-Risk, those with relatively better performance are PTBA, TLKM, UNVR and BBCA stocks. …”
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Sharia stocks optimal portfolio analysis using single index model
Published 2022-09-01“…Of the nineteen JII sample stocks, an optimal portfolio was formed with nine stocks as constituents, namely: ASII (6.12%), ASRI (2.37%), ICBP (24.60%), INCO (5.09%), INTP (11.45%), KLBF (2.03%), SMGR (16.91%), UNTR (19.58%) and UNVR (11.83%). …”
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Systemic Risk Analysis of Some Sharia Share in Jakarta Islamic Index
Published 2022-11-01“…Astra International, Tbk (ASII). This indicates no significant relationship between the Value at Risk and Systemic Risk.…”
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Analisis Tipologi Saham Syariah Di Bursa Efek Indonesia Berdasarkan Nilai Return Dan Resiko (Value At Risk) Pasca Krisis Global 2008
Published 2012-04-01“…The results that shares sharia can be grouped into 4 (four) : 6 (six) shares entering the low return and low risk (TLKM, UNVR, SMGR, AALI, ELSA, and SGRO), 3 (three ) shares into group of low-return but high risk (INCO, ANTM, and TINS), 3 (three) shares enter the group of low risk but high return (PTBA, LSIP, and KLBF), and 4 (four) shares enter the group high return but high risk (ITMG, ASII, INTP, and BMTR).…”
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