DETERMINASI FINANCIAL BUBBLE DAN EFEKNYA TERHADAP STABILITAS PASAR KEUANGAN

LAMPIRAN:

BACKGROUD AND BACKBOND.xps

Model     : Rational Expectation of Stochastic Bubble Equilibrium

Method : Structural Vector Autoregresive (SVAR), Error Corrrection Model (ECM)

KETERANGAN=> PENDING

“seberapa realistis dialam mana kita hidup..
sebesar usaha, tekad, dan pemahaman atas diri sendiri..”

26-09-2013

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