- martalena@eco.maranatha.edu
Martalena, S.E., M.M.
Bachelor Program in Management Lecturer
NIK: 520018
Lecturer Profile
- Professional
- Research Expertise
- Research Projects
- Research Outputs
- Consultancy & Languages
- Teaching & Supervision
- Media & Links
Qualifications
1992-1993 Master of Management at Universitas Gadjah Mada
1986-1991 Bachelor of Economics in Management at Universitas Cenderawasih
Research Interest
My research tends toward Capital Market and matters related to investment instruments.
Journals
Iskandar Dini , Martalena and Natasha DJ, 2020 . Perbandingan Kinerja Portofolio yang dibentuk dengan Single Indeks Model pada saham-saham yang terdaftar dalam Indeks LQ45 dan Kompas 100 tahun 2018, Jurnal Akuntansi, Vo. 12 No.2
Languages
- Indonesia
Spoken ability: Excellent
Written ability: Excellent - English
Spoken ability: Average
Written ability: Average
Teaching Statement
I would like to make students to have good financial literacy; hence, my studies are followed by assignments that adapt to the latest issues in investment.
Courses Coordinated
1. Capital Market
2. Portfolio Management and Investment Analysis
3. Financial Management
4. Financial Planning
Graduate Supervision Statement
I provide final project guidance in the field of Financial Management and Investment.
Qualifications
1992-1993 Master of Management at Universitas Gadjah Mada
1986-1991 Bachelor of Economics in Management at Universitas Cenderawasih
Research Interest
My research tends toward Capital Market and matters related to investment instruments.
Journals
Iskandar Dini , Martalena and Natasha DJ, 2020 . Perbandingan Kinerja Portofolio yang dibentuk dengan Single Indeks Model pada saham-saham yang terdaftar dalam Indeks LQ45 dan Kompas 100 tahun 2018, Jurnal Akuntansi, Vo. 12 No.2
Languages
- Indonesia
Spoken ability: Excellent
Written ability: Excellent - English
Spoken ability: Average
Written ability: Average
Teaching Statement
I would like to make students to have good financial literacy; hence, my studies are followed by assignments that adapt to the latest issues in investment.
Courses Coordinated
1. Capital Market
2. Portfolio Management and Investment Analysis
3. Financial Management
4. Financial Planning
Graduate Supervision Statement
I provide final project guidance in the field of Financial Management and Investment.