Imam Wahyudi
Imam Wahyudi
Department of Management, Faculty of Economics and Business, University of Indonesia, Indonesia
Verified email at ui.ac.id - Homepage
Title
Cited by
Cited by
Year
Manajemen Risiko Bank Islam
I Wahyudi, MK Dewi, F Rosmanita, MB Prasetyo, NIS Putri, BM Haidir
Penerbit Salemba Empat 1, 290, 2013
252*2013
Interdependence between Islamic capital market and money market: Evidence from Indonesia
I Wahyudi, GA Sani
Borsa Istanbul Review 14 (1), 32-47, 2014
642014
The Ramadan effect: illusion or reality?
AR Sonjaya, I Wahyudi
Arab Economic and Business Journal 11 (1), 55-71, 2016
242016
Risk management for Islamic banks: Recent developments from Asia and the Middle East
I Wahyudi, F Rosmanita, MB Prasetyo, NIS Putri
John Wiley & Sons, 2015
232015
The effect of firm and stock characteristics on stock returns: Stock market crash analysis
R Fauzi, I Wahyudi
The Journal of Finance and Data Science 2 (2), 112-124, 2016
222016
Commitment and trust in achieving financial goals of strategic alliance
I Wahyudi
International Journal of Islamic and Middle Eastern Finance and Management, 2014
142014
Default Risk Analysis in Micro, Small and Medium Enterprises: Does Debt Overhang Theory Occur?
I Wahyudi
Asian Academy of Management Journal of Accounting and Finance 10 (1), 95-131, 2014
92014
Environmental dynamic, business strategy, and financial performance: An empirical study of Indonesian property and real estate industry
I Wahyudi
The South East Asian Journal of Management 7 (1), 57-71, 2013
62013
Analysis of effect of leverage and cash flow today on future financial performance of Indonesian public company: Signaling theory vs. the Pecking Order theory
I Wahyudi
The Pecking Order Theory (January 20, 2011), 2011
52011
Realizing knowledge sharing in strategic alliance: case in Islamic microfinance
I Wahyudi
Humanomics, 2015
32015
Pattern of consumption budget allocation by the poor families
R Edy Halim, I Wahyudi, MB Prasetyo
Journal of Economics Business and Accountancy Ventura 18 (1), 47-64, 2015
12015
Early Warning System in ASEAN Countries Using Capital Market Index Return: Modiied Markov Regime Switching Model
I Wahyudi, R Luxianto, N Iwani, ASS Sulung
Indonesian Capital Market Review 3 (1), 41-57, 2011
12011
Exploring Determinant Factors of Bond Trading with Inventory Management Theory (Case Study of Indonesian Capital Market, January-March 2009)
I Wahyudi, A Rabbi
Indonesian Capital Market Review 2 (2), 87-108, 2010
12010
Matematika 2 untuk tingkat SD/MI
D Amalia, I Wahyudi
Dar El Ilm Li Awlad Publishing, 2019
2019
Matematika 4 untuk tingkat SD/MI
D Amalia, I Wahyudi
Dar El Ilm Li Awlad Publishing, 2018
2018
Matematika 3 untuk tingkat SD/MI
D Amalia, I Wahyudi
Dar El Ilm Li Awlad Publishing, 2018
2018
Bahasa Indonesia 1 untuk tingkat SD/MI
D Amalia, I Wahyudi
Dar el Ilm li Awlad Publishing, 2018
2018
Matematika 1 untuk tingkat SD/MI
D Amalia, I Wahyudi
Dar el Ilm li Awlad Publishing, 2018
2018
Government fiscal policy impact analysis in infrastructure sector and education sector to improve public welfare
ME Nasution, I Wahyudi
Economic Journal of Emerging Markets 9 (1), 51, 2017
2017
Analyzing the profit-loss sharing contracts with Markov model
I Wahyudi, A Sakti
Communications in Science and Technology 1 (2), 78-88, 2016
2016
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Articles 1–20