Sherly Anggraini
Analisis Interdependensi Indeks Saham Syariah dan Konvensional terhadap Indeks Saham Negara Maju serta Volatilitasnya Saat Krisis (Studi pada Indonesia dan Malaysia Tahun 2007-2015) = Analysis of Interdependence between Islamic and Conventional Stock Index with Developed Market Stock Index and Its Volatility During Crisis Study in Indonesia and Malaysia 2007-2015)
Fakultas Ekonomi dan Bisnis Universitas Indonesia, 2015
 UI - Skripsi Membership
Nadya Lovita
Efek dari volatility shock pada hubungan dinamis antara nilai tukar, tingkat suku bunga dan pasar saham di Indonesia = Effects of volatility shock on dynamic relationship between foreign exchange, stock market and interest rate in Indonesia
Fakultas Ekonomi dan Bisnis Universitas Indonesia, 2018
 UI - Tesis Membership
Listyono
Perhitungan value at risk portofolio fixed income (Studi Kasus Pada PT. XYZ) = value at risk measurement of fixed income portfolio (Case Study of PT. XYZ)
Fakultas Ekonomi dan Bisnis Universitas Indonesia, 2011
 UI - Tesis Open
Razif Yunus
Mengembangkan Model Bisnis Interest Rate Derivatives untuk Lembaga Kliring dan Penjaminan Indonesia (Studi Kasus: PT Kliring Penjaminan Efek Indonesia) = Developing Interest Rate Derivatives Business Model for Indonesia Clearing and Guarantee Institution (Case Study: PT. Kliring Penjaminan Efek Indonesia)
Fakultas Ekonomi dan Bisnis Universitas Indonesia, 2013
 UI - Tesis Membership
Three factor model dan kepemilikan asing terhadap tingkat return
 Artikel Jurnal