When investing, investors tend to only pay attention to the Risk of the value owned by an individual stock (Value at Risk) when there is a risk of another, namely systemic Risk. Systemic Risk is the Risk that has the overall effect on the Risk of another. Systemic Risks of Islamic stock issues are discussed in this study. This study analyzed whether there is any significant relationship between individual Risk (Value at Risk) in Islamic stocks with systemic Risk. Systemic Risk is calculated using the Conditional Value at Risk (CoVaR) with an estimated Quantile Regression Model (QRM). Based on the data processing results, the stock with the highest Value at Risk is PT Astra Agro Lestari, Tbk (AALI), whereas the stocks with the highest syste...
This paper is motivated by the heightened interest in investing in Islamic equities. The paper is th...
Since the signed memorandum of understanding between BAPEPAM with Dewan Syariah Nasional-Majelis Ula...
Capital market liberalization provides international diversification opportunities for investors in ...
Islamic banking in Indonesia has developed as indicated marked by the establishment of Bank Muamalat...
As far it goes, risk measurement relies on standard deviation. It calculates how the current event d...
Systemic risk is a risk of collapse of the financial system that would cause the financial system is...
This study aims to determine the systemic risk of banks as measured using Conditional-Value at Risk....
Systemic risk is a risk of collapse of the financial system that would cause the financial system is...
This paper is aimed at advancing empirical indications on micro variable factors determining systema...
This study aims to measure systemic risk in conventional commercial banks in Indonesia with the Cond...
This study attempts to investigate the financial performance of Jakarta Islamic Index (JII) in compa...
This research is intended to analyze the risk comparison using the Value at Risk (VaR) Variance Cova...
The purpose of this study is to analyze and test the effect of financial ratios and macroeconomics o...
The background of this study is the lack of sharia capital market product that compared to total sha...
The paper is an exploratory study to apply the method of historical simulation based on the concept ...
This paper is motivated by the heightened interest in investing in Islamic equities. The paper is th...
Since the signed memorandum of understanding between BAPEPAM with Dewan Syariah Nasional-Majelis Ula...
Capital market liberalization provides international diversification opportunities for investors in ...
Islamic banking in Indonesia has developed as indicated marked by the establishment of Bank Muamalat...
As far it goes, risk measurement relies on standard deviation. It calculates how the current event d...
Systemic risk is a risk of collapse of the financial system that would cause the financial system is...
This study aims to determine the systemic risk of banks as measured using Conditional-Value at Risk....
Systemic risk is a risk of collapse of the financial system that would cause the financial system is...
This paper is aimed at advancing empirical indications on micro variable factors determining systema...
This study aims to measure systemic risk in conventional commercial banks in Indonesia with the Cond...
This study attempts to investigate the financial performance of Jakarta Islamic Index (JII) in compa...
This research is intended to analyze the risk comparison using the Value at Risk (VaR) Variance Cova...
The purpose of this study is to analyze and test the effect of financial ratios and macroeconomics o...
The background of this study is the lack of sharia capital market product that compared to total sha...
The paper is an exploratory study to apply the method of historical simulation based on the concept ...
This paper is motivated by the heightened interest in investing in Islamic equities. The paper is th...
Since the signed memorandum of understanding between BAPEPAM with Dewan Syariah Nasional-Majelis Ula...
Capital market liberalization provides international diversification opportunities for investors in ...