GERMANSAH, Germansah; JIBLATHAR, Panji; MUBARAK, Fadhlul. Risk Measurement of Islamic Banking Financing Portfolio in Indonesia Based on Value at Risk Variance–Covariance . Benefit: Journal of Bussiness, Economics, and Finance, [S. l.], v. 4, n. 2, p. 124–134, 2026. DOI: 10.70437/benefit.v4i2.1783. Disponível em: https://publikasi.abidan.org/index.php/benefit/article/view/1783. Acesso em: 16 apr. 2026.