Vol. 25 No. 2 (2021) April 2021
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Vol. 25 No. 2 (2021) April 2021
Collection Items
Jurnal Keuangan dan Perbankan Universitas Merdeka Malang
Earning Quality Effect on Stock Returns: GCG and CSR Mechanism
This study explores the effect of corporate governance mechanisms and disclosure of corporate social responsibility on earnings quality and the effect on stock returns. The mining sector research analysis is indexed on the Indonesia Stock Exchange…
Jurnal Keuangan dan Perbankan Universitas Merdeka Malang
Optimization of Profit-Sharing Financing at Islamic Banking in Indonesia
The purpose of this study is to identify factors that can encourage an increase in profit-sharing financing. These factors are third-party funds in the form of mudharabah deposits, non-performing financing, equivalent rate, operational efficiency…
Jurnal Keuangan dan Perbankan Universitas Merdeka Malang
The Role of Good Corporate Governance to Fraud Prevention: An analysis based on the Fraud Pentagon
This study aims to analyze the relationship between the causes of fraud, good corporate governance, and fraud. This study is a descriptive study tested using logistic regression analysis. This study used 27 samples of banking companies from 44…
Jurnal Keuangan dan Perbankan Universitas Merdeka Malang
Does Board Diversity Affect Company Value?
Diversity in a board of directors has a strong relationship, so it provides higher-level management with a better monitoring system. This research aims to provide empirical proof about the influence of the diversity of the board of commissioners…
Jurnal Keuangan dan Perbankan Universitas Merdeka Malang
The Effect of Trust and Brand Image on Customer Retention with Customer Loyalty as Intervening Variables to Customers of Sharia Commercial Banks
Sharia banking is currently facing a very competitive industry era. Customer retention is one of the phenomena confronted by Islamic banks in Indonesia. Therefore, the problem in this research is how to increase customer retention in the Islamic…
Jurnal Keuangan dan Perbankan Universitas Merdeka Malang
Capital Aset Pricing Model (CAPM) Revisited: The Context of Sharia-based Stocks with the Barakah Risk Premium Variable
The purpose of this study is to answer the question about the inconsistency of research results in the field of Islamic stock investment. This study uses literature for digging the uniqueness of Sharia stock investments which cannot be explained…
Jurnal Keuangan dan Perbankan Universitas Merdeka Malang
Volatility Spillover Among Asian Developed Stock Markets to Indonesia Stock Market During Pandemic Covid-19
This study aims to analyze the transmissions of volatility spillovers from China, Singapore, South Korea, and Japan stock markets to the Indonesian stock market and prove an asymmetric effect on spillover volatility. The data retrieved from the stock…
Jurnal Keuangan dan Perbankan Universitas Merdeka Malang
Factor Influencing Job stress during Covid-19: Empirical Evidence from Bank Syariah Indonesia
Research on job stress on employees who carry out work from home is rarely studied, so this research is essential considering that Covid-19 impacts the Indonesian Islamic banking industry. This article aims to analyze work-family conflict mediated by…
Jurnal Keuangan dan Perbankan Universitas Merdeka Malang
Islamic Rural Bank Performance Model in Indonesia
The study aims to confirm research model the research model to specify how corporate culture mediates the influence of leadership skills on Islamic rural bank performance (iRBP). A special questionnaire designed for leaders, employees and customers…
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- Jurnal Keuangan dan Perbankan Universitas Merdeka Malang
- Vol. 25 No. 2 (2021) April 2021
- Jurnal Keuangan dan Perbankan Universitas Merdeka Malang
- JURNAL NASIONAL AKUNTANSI
- AKUNTANSI