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  1. Home /
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  3. Vol. 21 No. 2 (2017): KINERJA

Vol. 21 No. 2 (2017): KINERJA

Published: 2017-09-16

Articles

  • The Analysis of Portfolio Risk Management using VAR Approach Based on Investor Risk Preference

    Agus Suwarno, Putu Anom Mahadwartha
    129-144
    • PDF
  • Managers' Roles in Performance-Based Reward Enhancing Employees’ Feelings of Procedural Justice

    Azman Ismail, Mohd Ridwan Abd Razak
    145-158
    • PDF
  • The Phenomena of Organizational Structure Change as Change Factor of Financial Consultant’s Motivation

    Galuh Adhitia Poerbonegoro, Margono Setiawan, Sudjatno .
    159-171
    • PDF
  • Management Background, Intellectual Capital and Financial Performance of Indonesian Bank

    Elizabeth Hutami Widowati, Noel Singgih Haryo Pradono
    172-187
    • PDF
  • DEBIT CREDIT FRAMING EFFECT IN THE INVESTMENT ALOCATION DECISION

    Agustinus Mujilan
    188-200
    • PDF
  • Simultaneous Effect on Debt and Managerial Ownership: Agency Theory Framework

    Taufik Akhbar
    201-213
    • PDF
  • Strategic Trade Policy in the Presence of International Outsourcing in a Duopoly Model

    Damiana Simanjuntak, Doriani Lingga
    214-225
    • PDF

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