Fadhila, H., & Rizal, N. A. (2013). Analysis of Risk using Value at Risk (VaR) After Crisis in 2008 Study in Stocks of Bank Mandiri, Bank BRI and Bank BNI in 2009-2011. Information Management and Business Review, 5(8), pp. 394-400. https://doi.org/10.22610/imbr.v5i8.1067