The need to build a strong bond market is amenable, especially after the 1997 crises. This paper analyzes the influence of deposit interest rate, foreign exchange rates, and Composite Stock Price Index on yield-to-maturity of Bond Series Retail ORI001, employing monthly data from Bloomberg information service, 2006(8) to 2008(12), using Generalized Autoregressive Conditional Heteroscedasticity type models. It finds the evidence that deposit interest rate and exchange rate have positive significant influence on the bond, and that stock index has a negative significant influence on the bond. It also finds that Deposit Interest Rate, exchange rate, and the stock index significantly influence the bond altogether. Keywords: Interest rate, excha...
The purpose of this study was to analyze and examine the effect of inflation, exchange rates, foreig...
This research aims at determining the impact of interest rates, inflation and bond rating on bond yi...
This paper identifies macroeconomic and financial factors that are significantly correlated with Tre...
The need to build a strong bond market is amenable, especially after the 1997 crises. This paper ana...
The need to build a strong bond market is amenable, especially after the 1997 crises. This paper ana...
An important factor that becomes a consideration for investors in purchasing bonds as an investment ...
Governments sell bonds to finance their budget. The investors willing to buy government bonds becaus...
This research is conducted from gaps of research findings regarding factors influencing government ...
This study aims to analyze determinants which might influenced yield of Indonesian Government Bond D...
An important factor that becomes a consideration for investors in purchasing bonds as an investment...
The government bond (GB) has become the most attractive investment portfolio option, even though man...
In 2011 - 2014 the increasing of capitalization of bonds market is continue rising compared to the ...
The purpose of this research is to examine and analyze the influence of inflation, BI rate, exchange...
Indonesia sovereign bonds are investment graded bonds, therefore, it will have global exposure and i...
Indonesian rupiah-denominated government bond yields have risen by over the past few years, a relati...
The purpose of this study was to analyze and examine the effect of inflation, exchange rates, foreig...
This research aims at determining the impact of interest rates, inflation and bond rating on bond yi...
This paper identifies macroeconomic and financial factors that are significantly correlated with Tre...
The need to build a strong bond market is amenable, especially after the 1997 crises. This paper ana...
The need to build a strong bond market is amenable, especially after the 1997 crises. This paper ana...
An important factor that becomes a consideration for investors in purchasing bonds as an investment ...
Governments sell bonds to finance their budget. The investors willing to buy government bonds becaus...
This research is conducted from gaps of research findings regarding factors influencing government ...
This study aims to analyze determinants which might influenced yield of Indonesian Government Bond D...
An important factor that becomes a consideration for investors in purchasing bonds as an investment...
The government bond (GB) has become the most attractive investment portfolio option, even though man...
In 2011 - 2014 the increasing of capitalization of bonds market is continue rising compared to the ...
The purpose of this research is to examine and analyze the influence of inflation, BI rate, exchange...
Indonesia sovereign bonds are investment graded bonds, therefore, it will have global exposure and i...
Indonesian rupiah-denominated government bond yields have risen by over the past few years, a relati...
The purpose of this study was to analyze and examine the effect of inflation, exchange rates, foreig...
This research aims at determining the impact of interest rates, inflation and bond rating on bond yi...
This paper identifies macroeconomic and financial factors that are significantly correlated with Tre...