Pengaruh Kekuatan pasar dan Diversifikasi pendapatan Terhadap Stabilitas Bank umum yang terdaftar di Bursa Efek Indonesia

DAFTAR PUSTAKA

Buku:
Dendawijaya, Lukman, (2009). Manajemen Perbankan, Jakarta: Ghalia Indonesia.

Firdaus, Muhammad, 2011. Ekonometrika: Suatu Pendekatan Aplikatif, Edisi
Kedua, Cetakan Pertama, Jakarta : Bumi Aksara.
Ghozali, Imam, 2001. Aplikasi Analisis Multivariate dengan SPSS, Semarang:
Badan Penerbit Universitas Diponegoro.
Hasibuan, Malayu S.P, 2009. Dasar-dasar Perbankan, Cetakan Kedelapan,
Jakarta: PT. BumiAksara.
Kasmir, 2004. Manajemen Perbankan, Edisi Pertama, Cetakan kelima, PT.
RajaGrafindo Persada, Jakarta
Nachrowi, N.D., Usman H., 2006. Pendekatan Populer dan Praktis:
Ekonometrika Untuk Analisi Ekonomi dan Keuangan. Jakarta: Penerbit
Fakultas Ekonomi Universitas Indonesia.
Sugiyono, 2009. Metode Penelitian Kuantitatif, Kualitatif dan R&D, Bandung:
Alfabeta.
Wijaya, Krisna, 2010. Analisis Kebijkan Perbankan Nasional, Jakarta: PT. Elex
Media Komputindo.


Jurnal:
Amidu, M., 2013. “The Effects of The Structure of Banking Market and Funding
Strategy On Risk and Return”.International Review of Financial Analysis
28, pp. 143–155.
Amidu, M., Wolfe, S., 2013. “Does Bank Competition and Diversification Lead
To Greater Stability? Evidence From Emerging Markets”.Review of
Development Finance 3, pp. 152–166.
Anginer, D., Demirguc-Kunt, A., Zhu, M., 2014. “How Does Competition Affect
Bank Systemic Risk?”.Journal of Financial Intermediation 23, pp. 1–26.

Batunanggar, S., 2003. Pentingnya Stabilitas Sistem Keuangan. Pengembangan
Perbankan. Edisi 99.
Berger, A., Klapper, L., and Turk-Ariss, R., 2009. “Bank Competition and
Financial Stability”.Journal of Financial Services Research, pp. 99–118.
Crockett, A., 1997. “Why Is Financial Stability A Goal of Public Policy?” Paper
in Maintaining Financial Stability in a Global Economy Symposium,
Federal Reserve Bank of Kansas City, Jackson Hole, Wyoming, pp. 1-36.
Coccorese, P., 2009. “Market Power In Local Banking Monopolies”,Journal of
Banking & Finance 33, pp. 1196–1210
Demirguc-Kunt, A., and Huizinga, H. P., 2010. “Bank Activity and Funding

Strategies: The Impact On Risk and Return”.Journal of Financial
Economics, 98 (3), pp. 626–650.
Guerrero-Mora,
Rudolfo.
and
Sepulveda-Villareal,
Ernesto.
2005.
“Profitability,Concentration, and Efficiency in the Mexican Banking
Industry”,Journal El TrimestreEconomico, 76(1), pp. 237-263.
Kachtouli and Hamza, 2012. “Competitive conditions and market power of
Islamic and conventional commercial banks”. Journal of Islamic
Accountung and Business Research, Vol. 5, No. 1, pp. 29-46.
Lepetit, L., Nys, E., Rous, P., and Tarazi, A., 2008. “The Expansion of Services In
European banking: Implications For Loan Pricing and Interest Margins”.
Journal of Banking and Finance 32 (11), pp. 2325–2335.
Maudos, J., and Solís, L., 2009. “The Determinants Of Net Interest Income In The
Mexican Banking System: An Integrated Model”.Journal of Banking &
Finance 33, pp. 1920–1931.
Meslier, C., Tacneng, R., and Tarazi, A., 2014. “Is Bank Income Diversification

Beneficial?”. Journal of International Financial Markets, Institutions &
Money, Vol. 31, pp. 97-126.
Nasution, A., 2003. “Masalah– masalah Sistem Keuangan dan Perbankan
Indonesia”. Seminar Pembangunan Hukum Nasional VIII, Badan
Pembinaan Hukum Nasional – Departemen Kehakiman dan Hak Asasi
Manusia RI.

Nguyen, M., Skully, and M., Perera, S., 2012. “Market power, revenue
diversification and bank stability: Evidence from selected South Asian
countries”.Journal of International Financial Markets, Institutions &
Money 22, pp. 897– 912.
Schinasi, G., 2006. “Safeguarding Financial Stability:
Practice”,International Monetary Fund, Washington.

Theory

and

Stiroh, K.J., 2004. “Diversification In Banking: Is Noninterest Income the
Answer?”Journal of Money, Credit and Banking,Vol. 36, No. 5, pp. 853882

Stiroh, K.J., and Rumble A., 2006. “The Dark Side of Diversification: The case of
US Financial Holding Companies”.Journal of Banking & Finance 30 , pp.
2131–2161.
Sufian, F., and Habibullah M.S., 2010. “Assessing the Impact of Financial Crisis
on Bank Performance”. ASEAN Economic Bulletin, Vol. 27, No. 3, pp. 245262.
Turk-Ariss, R., 2010. “On The Implications of Market Power In Banking:
Evidence From Developing Countries”. Journal of Banking & Finance 34,
pp. 765–775.
Warjiyo, Perry, 2006. “Stabilitas Sistem Perbankan dan Kebijakan
perkembangannya di Indonesia”. Buletin Ekonomi Moneter dan Perbankan,
Vol. 8, No. 4.
Situs:
http://www.idx.co.id/idid/beranda/perusahaantercatat/laporankeuangandantahunan
.aspx, diakses tanggal 15Agustus 2015, pukul 15.05
http://www.bi.go.id/id/publikasi/laporankeuangan/bank/umumkonvensional/Defa
ult.aspx, diakses tanggal 17Agustus 2015, pukul 11.16