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DAFTAR ISI

Halaman
DAFTAR ISI............................................................................................................i
DAFTAR TABEL...................................................................................................ii
DAFTAR GAMBAR....... .....................................................................................iii
BAB 1 PENDAHULUAN......................................................................................1
1.1 Latar Belakang...............................................................................................1
1.2 Perumusan Masalah.......................................................................................2
1.3 Tujuan Penelitian...........................................................................................2
1.4 Mamfaat Penelitian........................................................................................3
1.5 Batasan Penelitian..........................................................................................3
1.6 Sistematika Penulisan.....................................................................................3
- Pendahuluan
- Tinjauan pustaka (Landasan teori)
- Metode penelitian (membahas tentang metode pengumpulan data, analisis
termasuk tahapan-tahapan analisis data)
- Pembahasan (Membahas tentang data yang dikumpulkan, pengolahan data
dan pembahasan dari hasil pengolahan data tersebut dan membandingkan
dengan teori yang melandasinya)
- Kesimpulan dan Saran
BAB 2 TINJAUAN PUSTAKA.............................................................................5
2.1 Manajement Risiko.....................................................................................5
2.1.1 Proses Manajemen Risiko...........................................................................5
2.1.2 Manajemen Risiko Pada Institusi Keuangan...............................................8
2.2 Penelitian Terdahulu.................................................................................11
2.3 Metode Analisis Data Risiko Pasar...........................................................19
BAB 3 METODE PENELITIAN..........................................................................20
3.1 Metode Pengumpulan Data..........................................................................20
3.2 Metode Analisa Data....................................................................................20
3.3 Tahapan Analisis Data.................................................................................20
3.4 Flow Chart Analisis Data............................................................................22
DAFTAR PUSAKA..............................................................................................23
AGENDA PENULISAN TESIS...........................................................................24

DAFTAR TABEL
Halaman
TABEL 2.1 Tabel Penelitian Terdahulu...............................................................11

DAFTAR GAMBAR
Halaman
Gambar 2.1 Proses Manajemen Risiko...................................................................6
Gambar 3.1 Flow Chart Metode Penelitian...........................................................22