Vol. 26 No. 1 (2022) January 2022
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Vol. 26 No. 1 (2022) January 2022
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Jurnal Keuangan dan Perbankan Universitas Merdeka Malang
Financial Volatility Spillover in COVID-19 Pandemic Period: Evidence from the US and ASEAN Stock Market
A recession is part of the economic cycle that occurs in a certain period. This article investigates the effects of volatility spillover in the COVID-19 pandemic that occurred in 2020 using stock market index data from the US and ASEAN countries:…
Jurnal Keuangan dan Perbankan Universitas Merdeka Malang
Trends Financial Technology Usage Decision for Resilience in Urban Society: Impact of New Normal Era Covid-19
The main objective of the research was to discuss the influence of financial technology on usage decisions for resilience and how the systems give services to accommodate the needs of the consumers. The pilot study was guided by specific aims and…
Jurnal Keuangan dan Perbankan Universitas Merdeka Malang
Comparison of Financial Performance in Health Sector Companies Listed on the Indonesia Stock Exchange before and During the Covid-19 Pandemic
The trade war between China and America shocked Indonesia's economic situation towards the end of 2019, followed by a pandemic of a deadly virus known as Covid-19. It was officially revealed at the start of 2020 that the Covid-19 pandemic had…
Jurnal Keuangan dan Perbankan Universitas Merdeka Malang
The Mediating Effect of Debt Equity Ratio on The Effect of Current Ratio, Return on Equity and Total Asset Turnover on Price to Book Value
The research conducted here has two aims: firstly, it endeavors to examine the impacts of liquidity, Profitability, and activity ratio on capital structure as well as the firm value; and, secondly, it attempts to examine the role of capital structure…
Jurnal Keuangan dan Perbankan Universitas Merdeka Malang
Does Bank Governance Reduce Financial Statement Fraud? The Moderating Role of Operational Risk
The complexity generally triggers the opportunity of fraud in operation experienced, so that it can potentially be a serious threat which has a significant loss impact for the company. This study focuses on the indications of financial statement…
Jurnal Keuangan dan Perbankan Universitas Merdeka Malang
A Model to Identify the Potential Target for Leveraged Buyout
This study aims to find a model based on agency theory to identify the target firms of leveraged buyout (LBO) transactions one year ahead. The likelihood of a firm being a target in an LBO transaction is estimated using logistic regression. The…
Jurnal Keuangan dan Perbankan Universitas Merdeka Malang
An Empirical Analysis on the Antecedents and Consequences of Quality of Management Accounting System
This study aims to examine the effect of top management support and organizational culture on the management accounting system's quality, the impact of the management accounting system, and the impact of the quality of the management accounting…
Jurnal Keuangan dan Perbankan Universitas Merdeka Malang
Can Social Responsible Investment and Gold be a Good Diversifier for Indonesia Sharia Investors?
The COVID-19 Pandemic persists after the global financial crisis resumption of financial turbulence. This vulnerabilities phenomenon compelled investors to restructure their portfolio by implementing a well-diversification strategy. The Sharia…
Jurnal Keuangan dan Perbankan Universitas Merdeka Malang
Coal Prices and Foreign Ownership on the Capital Structure of Indonesian Coal Companies
This paper investigated the effect of coal prices and foreign ownership on the capital structure of coal companies in the Indonesian stock exchange. This study used debt to equity ratio (DER) to proxy capital structure and control variables, i.e.,…
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- Jurnal Keuangan dan Perbankan Universitas Merdeka Malang
- Vol. 26 No. 1 (2022) January 2022
- Jurnal Keuangan dan Perbankan Universitas Merdeka Malang
- JURNAL NASIONAL AKUNTANSI
- AKUNTANSI