Archive for the ‘Finance’ Category

The Anatomy of Bubble and Financial Instability Hypothesis

Posted on April 22nd, 2010 by pratolo
Filed under Analysis, Behavioral Finance, Finance | 9 Comments

How financial bubble occurs; crucial for investors, consumers, businessmen, and other economic actors.

False Fundamental of Finance and Market Forecasting

Posted on October 21st, 2009 by pratolo
Filed under Finance | 7 Comments

Secara spesifik tulisan ini akan berguna bagi investor dan mahasiswa finance, tapi secara umum ia juga akan berguna bagi praktisi marketing, wartawan, ekonom, peneliti social science, dan siapa pun dengan profesi terkait statistika.

Too Big to Fail, Too Fool to Learn

Posted on October 8th, 2009 by pratolo
Filed under Finance | 5 Comments

Konsentrasi simpanan masyarakat di beberapa bank menimbulkan oligopoli. Nasabah tidak punya banyak pilihan. Hal sebaliknya berlaku bagi para bankir raksasa, jaminan bail out dari pemerintah akan membuat mereka melakukan tindakan ceroboh, ’We are too big too fail’.

Two Mavericks in Science on Measuring Risk and Return

Posted on October 4th, 2009 by pratolo
Filed under Finance | No Comments

According to Benoit Mandelbrot, price movement in financial market, commodity market, equity market, and currency market follow the law of wild randomness.