1.
Fadhila H, Rizal NA. 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. IMBR [Internet]. 2013Aug.30 [cited 2024Jul.3];5(8):pp. 394-400. Available from: https://ojs.amhinternational.com/index.php/imbr/article/view/1067