Content
2023, Volume 26, Issue Special Issue
- 1-1 Synergy of Economic Policies and Innovation in Driving Momentum for Sustainable Global Economic Recovery in the Era of Digital Transformation
by Paresh Kumar Narayan & Solikin M. Juhro - 1-8 Synergy Of Economic Policies And Innovation In Driving Momentum For Sustainable Global Economic Recovery In The Era Of Digital Transformation
by Perry Warjiyo - 9-32 Crisis And Contagion In Cryptocurrency Market
by Bhavesh Garg & Karan Rai & Rishabh Pachoriya & Manik Thappa - 33-54 A Machine Learning Approach To Gdp Nowcasting: An Emerging Market Experience
by Saurabh Ghosh & Abhishek Ranjan - 55-76 AThis paper examines the effectiveness of an automatic fiscal policy in dealing with an economic recession in Indonesia. By using a mixture of quantity and quality approaches, we find that the automatic stabilizer policy can be used in Indonesian state finances, whereby several components of state revenue, namely income tax, consumption tax, excise, and non-tax revenue, have elasticity of more than one. In comparison, only one component of government spending, namely interest payment, has an elasticity of more than one. We also find that activating the automatic stabilizer policy requires a particular article in the State Finance Law, that regulates when the automatic stabilizer instrument, to be used. These findings open an additional avenue for understanding the effectiveness of policy stimulus to combat the COVID-19 pandemic
by Cucun Ahmad Syamsurijal & Yogi Suprayogi Sugandi & Asep Sumaryana & Slamet Usman Ismanto - 77-96 What Drives India’S Financial Integration?
by Rakesh Padhan & K.P. Prabheesh - 97-110 The Crude Oil Price–Stock Return Connectedness And The Impact Of The Russian-Ukraine War On Stock Returns In East Asian Countries
by Chinmaya Behera - 111-126 Do Barriers To Digital Services Trade Hamper Economic Growth? Evidence From A Crosscountry Analysis
by Bhushan Praveen Jangam - 127-146 Credit Card Delinquency In Malaysia
by Wai Leng Chia & Roy W.L. Khong & Priscilla Lim & Patricia Mei Mei Ang
March 2022, Volume 25, Issue Special Issue
- 1-1 Stimulating Economic Recovery, Promoting Sustainable- Inclusive Growth: Challenges And Opportunities
by Paresh Kumar Narayan & Solikin M. Juhro - 1-1 A Reflection Of Sustainable Inclusive Growth Post-Pandemic And The Central Bank’S Challenges Beyond Stability
by Perry Warjiyo - 1-18 Is Indonesia’S Current Account Balance Optimal? Evidence From An Intertemporal Approach
by Bhavesh Garg & K.P. Prabheesh - 19-42 The Impact Of Covid-19 On Digital Payment Habits Of Indian Households
by Rajas Saroy & Sakshi Awasthy & Naveen K. Singh & Sonali M. Adki & Sarat Dhal - 43-60 Pandemics, Lockdown And Economic Growth: A Region-Specific Perspective On Covid-19
by Devi Prasad Dash & Narayan Sethi - 61-84 The Economic Effects Of Covid-19 Mitigation Policies On Unemployment And Economic Policy Uncertainty
by Anasuya Haldar & Narayan Sethi - 85-102 Does Innovation Outcomes Influence Performance Of Indian Manufacturing Firms?
by Badri Narayan Rath & Poulomi Bhattacahrya - 103-124 Does Bank Efficiency Enhance Bank Performance? Empirical Evidence From Indian Banking
by Bijoy Rakshit & Samaresh Bardhan - 125-160 Foreign Direct Investment And Wage Spillovers In The Indonesian Manufacturing Industry
by Mohammad Zeqi Yasin & Miguel Angel Esquivias & Nur Arifin
2022, Volume 25, Issue 4
- 495-530 Analyzing Collateral Repo Haircuts In Asian Countries
by Iman Gunadi & Aryo Sasongko & Dian Fitriarni Sari - 531-574 Is International Monetary Policy Coordination Feasible For The Asean-5 + 3 Countries?
by Eric Alexander Sugandi - 575-596 Currency Crises And Contagion Channels In Asian Economies
by Tey Sheik Kyin & Lee Chin - 597-622 Macro-Financial Determinants Of Default Probability Using Copula: A Case Study Of Indonesian Banks
by Maulana Harris Muhajir & Pierre SIX & Jung-Hyun Ahn - 623-646 Foreign And Private Domestic Investments In Indonesia: Crowding-In Or Crowding-Out?
by Aris Setiyanto - 647-672 The Effect Of Corporate Tax Policy On Foreign Direct Investment: Empirical Evidence From Asian Countries
by Adi Lesmana & Widyono Soetjipto - 673-688 The Effect Of Covid-19 Pandemic On The Risks Of Investments In Indonesia: Evidence From The Egarch Model
by Meinisa Fadillah Rahmi & Nasrudin
November 2022, Volume 25, Issue 3
- 275-290 The Impact Of Domestic Investors’ Participation In Government Debt On Bank Loans To The Private Sector: A Cross-Country Study
by Justina Adamanti & Sugiharso Safuan & Zaäfri Ananto Husodo - 291-322 Nowcasting Regional Economic Growth In Indonesia
by Jesica Nauli Br. Siringo Ringo & Anugerah Karta Monika - 323-370 Indonesia’S Financial Stress Events And Macroeconomic Dynamics
by Sugiharso Safuan & Eric Alexander Sugandi & Okta Qomaruddin Aziz & Risna Triandhari - 371-398 Asymmetric Impacts Of Monetary Policy Shock On Output Gap: Evidence From Regions In Indonesia
by Sugiharso Safuan & Sugeng Triwibowo & Defy Oktaviani - 399-438 Pandemic Shocks And Macro-Financial Policy Responses: An Estimated Dsge-Var Model For Indonesia
by Advis Budiman & Sugiharso Safuan & Solikin M. Juhro & Febrio N. Kacaribu - 439-470 The Systemic Risk In The Gulf Cooperation Council Countries’ Equity Markets And Banking Sectors: A Dynamic Covar Approach
by Aktham Maghyereh & Nader Virk & Basel Awartani & Mohammad Al Shboul - 471-492 From School To Work: Does Vocational Education Improve Labour Market Outcomes? An Empirical Analysis Of Indonesia
by Dyah S. Pritadrajati
August 2022, Volume 25, Issue 2
- 135-154 Does International Monetary Policy Influence The Bank Risk? Evidence From India
by Ameen Omar Shareef & K.P. Prabheesh - 155-172 Central Bank Independence And Price Stability Under Alternative Political Regimes: A Global Evidence
by Afees A. Salisu & Elias A. Udeaja & Silva Opuala-Charles - 175-204 Are Financial Institutions Tax Aggressive? Evidence From Corporate Tax Return Data
by Subagio Efendi & Salim Darmadi & Robert Czernkowski - 203-214 The Asymmetric Effects Of Exchange Rate Volatility On International Trade In A Transition Economy: The Case Of Vietnam
by Loc Dong Truong & Ha Hoang Ngoc Le & Dut Van Vo - 215-234 The Effects Of Rent Seeking Activities On Economic Growth In Middle-Income Countries
by Zi Wen Vivien Wong & Fanyu Chen & Siong Hook Law & Normaz Wana Ismail - 235-256 The Impact Of Fiscal Space On Indonesia’S Fiscal Behavior
by Marcella Alifia Kuswana Putri & Chandra Utama & Ivantia Savitri Mokoginta - 257-272 Does Credit Performance Change In The Post- Covid-19? Evidence From Java Island, Indonesia
by Darjana Darjana & Sudarso Kadero Wiryono & Deddy Priatmodjo Koesrindartoto
2022, Volume 25, Issue 1
- 1-24 Central Bank Digital Currency: What Factors Determine Its Adoption?
by Novi Maryaningsih & Suahasil Nazara & Febrio N. Kacaribu & Solikin M. Juhro - 25-36 A Note On Public Debt-Private Investment Nexus In Emerging Economies
by Dinci J. Penzin & Afees Salisu & Benedict N.Akanegbu - 37-54 Time And Frequency Dependency Of Foreign Exchange Rates And Country Risk:Evidence From Turkey
by DerviÅŸ Kirikkaleli & Mustafa Tevfik Kartal & Tomiwa Sunday Adebayo - 55-72 Finance And Endogenous Growth
by Delano Segundo Villanueva - 97-116 Fiscal And Monetary Policy Interactions In Indonesia During Periods Of Economic Turmoil In The Us: 2001q1-2014q4
by Chandra Utama & Insukindro & Ardyanto Fitrady - 117-132 Threshold Effect In The Relationship Between Inflation Rate And Economic Growth In Indonesia
by Adam Luthfi Kusumatrisna & Iman Sugema & Syamsul H. Pasaribu
January 2021, Volume 24, Issue Special Issue
- 1-1 EDITORIAL Maintaining Stability, Promoting Sustainable Growth amidst Global Challenges, The 14th BMEB International Conference Special Issue
by Paresh Kumar Narayan & Solikin M. Juhro - 1-1 Rethinking Macroeconomy and Central Banking in the New Normal
by Perry Warjiyo - 1-14 The Covid-19 Pandemic And Indian Pharmaceutical Companies: An Event Study Analysis
by Chinmaya Behera & Badri Narayan Rath - 15-32 The Impact Of Covid-19 On Islamic And Conventional Stocks In Indonesia: A Wavelet-Based Study
by Mohsin Ali & Urooj Anwar & Muhammad Haseeb - 33-58 The News Effect Of Covid-19 On Global Financial Market Volatility
by Anasuya Haldar & Narayan Sethi - 59-88 Competition, Diversification, And Stability In The Indonesian Banking System
by Mudeer Ahmed Khattak & Baharom Abdul Hamid & Muhammad Umar Islam & Mohsin Ali - 89-106 Asymmetric Adjustment Of The Sectorial Lending-Deposit Rate Spread In Fiji
by Shamal Shivneel Chand & Baljeet Singh - 107-128 Credit Risk Modelling For Indian Debt Securities Using Machine Learning
by Charumathi Balakrishnan & Mangaiyarkarasi Thiagarajan - 129-150 Women In A Dual Board System And Dividend Policy
by Tastaftiyan Risfandy & Timotius Radika & Leo Indra Wardhana
2021, Volume 24, Issue 4
- 489-516 Covid-19 Uncertainty And Monetary Policy Responses: Evidence From Emerging Market Economies
by K.P. Prabheesh & Solikin M. Juhro & Cicilia A. Harun - 517-540 What Drives Persistently High Inflationary Pressures In Vietnam? Some Evidence From The New Keynesian Curve Framework
by Xuan-Hoa Nghiem & Seema Narayan - 541-558 Assessing The Competitiveness Of Firms In The Indian Manufacturing Sector: An Inter Industry Analysis
by Pradipta Kumar Sahoo & Badri Narayan Rath & iet Le - 559-588 Fintech, Banks, And The Covid-19 Pandemic: Evidence From Indonesia
by Militcyano Samuel Sapulette & Nury Effendi & Teguh Santoso - 589-630 Dynamic Relationship Between Capital Inflows And Bank Lending: The Role Of Commodity Price And Global Financial Market Shocks
by Doni Satria & Nachrowi Djalal Nachrowi & Telisa A. Falianty & Iskandar Simorangkir - 631-640 Access To Credit And Physical Capital Stock: A Study Of Non-Farm Household Enterprises In Nigeria
by Obed I. Ojonta & Jonathan E. Ogbuabor - 641-658 Knowing The Unknowns – Fresh Insights From An Unknown Stock Market
by Susan Sunila Sharma & Naoyuki Yoshino & Farhad Taghizadeh-Hesary
2021, Volume 24, Issue 3
- 313-334 Understanding Market Reaction To Covid-19 Monetary And Fiscal Stimulus In Major Asean Countries
by Syed Aun R. Rizvi & Solikin M. Juhro & Paresh Kumar Narayan - 335-364 Volatility Spillover Of Intraday Exchange Rates On Some Selected Asean Countries
by Neluka Devpura* & Iman Gunadi & Aryo Sasongko - 365-382 Covid-19, Policy Responses, And Industrial Productivity Around The Globe
by Bernard Njindan Iyke & Susan Sunila Sharma & Iman Gunadi - 385-414 Diversification Gains For A Home Biased Trader In The Emerging And Frontier Equity Markets
by Seema Wati Narayan & Sivagowry Srianathakumar & Greeni Maheshwari & Mobeen Ur Rehman - 413-440 Foreign Trade, Education, And Innovative Performance: A Multilevel Analysis
by Ahmet Faruk Aysan & Luis Carlos Castillo-Téllez & Dilek Demirbas & Mustafa Disli - 441-464 Real Exchange Rate Misalignments: The Case Of The Indonesian Rupiah
by Rasbin & Mohamad Ikhsan & Beta Y. Gitaharie & Yoga Affandi - 465-486 The Effect Of Saving Account Ownership And Access To Financial Institutions On Household Loans In Indonesia
by Robby Maulana & Chaikal Nuryakin
2021, Volume 24, Issue 1
- 1-34 Does Economic Integration Increase Female Labour Force Participation? Labour Force Participation?
by Seema Narayan & Tri Tung Nguyen & Xuan-Hoa Nghiem - 34-52 Spillover Effects Of Exchange Rate Returns In Selected Asian Countries
by Neluka Devpura - 53-70 Terrorist Attacks And Corporate Investment In Indonesia
by Dat Thanh Nguyen & Dinh Hoang Bach Phan & Van Ky Long Nguyen - 71-92 Adjustment Speed Of Debt Maturity: Evidence From Financial Crises In East Asia
by Hasan Tekin & Ali Yavuz Polat - 93-118 Trade Creation And Trade Diversion Effects: The Case Of The Asean Plus Six Free Trade Area
by Rossanto Dwi Handoyo & Lilik Sugiharti & Miguel Angel Esquivias - 119-150 Asymmetric Transmission Of Monetary Policy To Interest Rates: Empirical Evidence From Indonesia
by Fitri Ami Handayani & Febrio Kacaribu - 151-168 Foreign Ownership, Stock Performance-Risk, And Macroeconomic Factors In Asean Countries
by Ahmad Maulin Naufa & Mamduh M. Hanafi & I Wayan Nuka Lantara
January 2020, Volume 23, Issue Special Issue
- 1-14 Consumer Sentiment And Indonesia'S Stock Returns
by Deepa Bannigidadmath - 15-32 Impact Of Remittances On Private Sector Credit In The Pacific Island Countries
by Hong Chen & Shamal Chand & Baljeet Singh - 33-60 Income Expectations, Credit To Households, And Property Prices: Evidence From Indonesia And Brazil
by Huson Ali Ahmed - 61-86 Do Natural Disasters Increase Financial Risks? An Empirical Analysis
by Chun-Ping Chang & Li Wan Zhang - 87-108 Income Structure And Performance: An Empirical Analysis Of Islamic And Conventional Banks In Indonesia
by Mohsin Ali & Mudeer Ahmed Khattak - 109-128 Spread Of Ict And Economic Growth In Pacific Island Countries: A Panel Study
by Keshmeer Kanewar Makun & T K Jayaraman - 129-150 Determinants Of Agriculture-Related Loan Default: Evidence From China
by Zhichao Yin & Lei Meng & Yezhou Sha
December 2020, Volume 23, Issue 4
- 463-484 The Nexus Among Employment, Productivity And Trade Openness: Evidence From Brics And Indonesia
by Badri Narayan Rath & Masagus M. Ridhwan - 485-500 Commodity Price And Inflation Dynamics: Evidence From Briics
by Syed Aun R. Rizvi & Sahminan Sahminan - 501-524 Drivers Of Illiquidity In The Asean Sovereign Bond Market
by Harald Kinateder & Robert Bauer & Niklas F. Wagner - 525-542 Blockchain Futures In Cryptocurrencies, Trade And Finance: A Preliminary Assessment
by Ahmet Faruk Aysan & Behar Sadriu & Humeyra Topuz - 543-564 The Impact Of Net Stable Funding Ratio On Bank Performance And Risk Around The World
by Bowo Setiyono & Ahmad Maulin Naufa - 565-596 Monetary Policy Rules In Malaysia, Singapore And Thailand
by Chai-Thing Tan & Azali Mohamed - 597-620 Internal And External Determinants Of Housing Price Boom In Hong Kong
by Farhad Taghizadeh-Hesary & Naoyuki Yoshino & Aline Mortha & Alvin Chiu & Niki Naderi
2020, Volume 23, Issue 3
- 297-318 An Analysis Of Herding Behavior In The Stock Market: A Case Study Of The Asean-5 And The United States
by R. Eki Rahman & Ermawati - 319-344 Does Export Diversification Lead To Income Convergence? Evidence From Cross-Country Analysis
by Vaseem Akram & Badri Narayan Rath - 345-362 Innovation, Corruption, And Economic Growth In Emerging Asia
by Aurolipsa Das & Devi Prasad Dash & Narayan Sethi - 363-386 Role Of Ict As A Contingency Factor In Financial Sector Development, Remittances, And Economic Growth Nexus: An Empirical Study Of Indonesia
by Keshmeer Kanewar Makun & T.K. Jayaraman - 387-410 Estimating A Joint Probability Of Default Index For Indonesian Banks: A Copula Approach
by Zaafri Ananto Husodo & Sigit Sulistyo Wibowo & Muhammad Budi Prasetyo & Usman Arief & Maulana Harris Muhajir - 411-438 Designing Central Bank Digital Currency For Indonesia: The Delphi–Analytic Network Process
by Bastian Muzbar Zams & Ratih Indrastuti & Akhmad Ginulur Pangersa & Nur Annisa Hasniawati & Fatimah Az Zahra & Indah Ayu Fauziah - 439-460 Information Flow Between The Us Dollar-Rupiah Exchange Rates
by Wee-Yeap Lau & Tien-Ming Yip
June 2020, Volume 23, Issue 2
- 161-178 The Role Of Palm Oil Price In Indonesia’S Aggregate Demand
by Susan Sunila Sharma - 179-200 How Long Do Housing Cycles Last? A Duration Analysis For Emerging Economies
by Maryam Akbari Nasiri - 201-220 Financial Stability And Income Growth In Emerging Markets
by Bashir T. Mande & Afees A. Salisu & Adeola N. Jimoh & Fola Dosumu & Girei H. Adamu - 201-220 External Debt, Institutional Quality And Economic Growth
by Siti Nurazira Mohd Daud - 239-252 Predictors Of Exchange Rate Returns: Evidence From Indonesia
by Bayu Arie Fianto & Nisful Laila & Raditya Sukmana & Muhammad Madyan - 253-268 Asymmetric Effect Of Crude Oil And Palm Oil Prices On Economic Growth: Evidence From Indonesia
by K.P. Prabheesh & Nisful Laila - 269-294 Early Warning Indicators And Optimal Policies For Mitigating Economic Crises: Evidence From Meta-Analysis
by Arlyana Abubakar & G.A. Diah Utari & Prayudhi Azwar
2020, Volume 23, Issue 1
- 1-24 Asian Current Account Balances And Spillovers From A Foreign Country, A Region And The United States
by Seema Wati Narayan - 25-54 Currency Mismatches In Emerging Market Economies: Is Winter Coming?
by Hari Venkatesh & Gourishankar S Hiremath - 55-82 Employment Probabilities And Workforce Distribution In The Indian Manufacturing Sector: A State-Level Analysis
by Jadhav Chakradhar & Arun Kumar Bairwa - 83-100 A Modified Neoclassical Growth Model With Endogenous Labor Participation
by Delano Segundo Villanueva - 101-120 The Determinants Of Systemic Risk: Evidence From Indonesian Commercial Banks
by Mutiara Aini & Deddy Priatmodjo Koesrindartoto - 121-138 Macroprudential Stress-Testing The Indonesian Banking System Using The Credit Risk Model
by Shilvia Kurniawati & Deddy Priatmodjo Koesrindartoto - 139-152 When Prime Depositors Run On The Banks: A Behavioral Approach
by Natanael Waraney Gerald Massie & Chaikal Nuryakin - 153-158 A Book Review Of Central Bank Policy Theory And Practice By Perry Warjiyo And Solikin M. Juhro
by Hal Hill
2019, Volume 22, Issue 4
- 405-422 Understanding Indonesia’S City-Level Consumer Price Formation: Implications For Price Stability
by Paresh Kumar Narayan - 423-436 Forecasting Indonesian Inflation Within An Inflation-Targeting Framework: Do Large-Scale Models Pay Off?
by Solikin M. Juhro & Bernard Njindan Iyke - 437-456 Does Fintech Matter For Indonesia’S Economic Growth?
by Seema Wati Narayan - 457-484 Effectiveness Of Early Warning Models: A Critical Review And New Agenda For Future Direction
by Rakesh Padhan & K. P. Prabheesh - 485-506 Monetary Policy Rules And Macroeconomic Stability: Evidence From Sri Lanka
by Kesavarajah Mayandy - 509-530 Do Monetary Aggregates Belong In A Monetary Model? Evidence From The Uk
by Mehmet Ezer - 531-552 Financial Intermediation Costs In A Dual Banking System: The Role Of Islamic Banking
by Mansor H. Ibrahim & Siong Hook Law
2019, Volume 22, Issue 3
- 1-16 A Financial Inclusion Index For Indonesia
by Hilman Hanivan & Nasrudin - 1-16 Does Ownership Structure Matter? A Cost Efficiency Study Of Life Insurance Firms In Indonesia
by Riski Wicaksono & Tri Mulyaningsih - 1-20 New Sources Of Growth: The Role Of Frugal Innovation And Transformational Leadership
by Solikin M. Juhro & A . Farid Aulia - 1-24 Do Prices Converge Among Indonesian Cities? An Empirical Analysis
by Bhushan Praveen Jangam & Vaseem Akram - 1-24 Exchange Rate And Interest Rate Differential In G7 Economies
by Peter Golit & Afees Salisu & Akinwunmi Akintola & Faustina Nsonwu & Itoro Umoren - 1-24 Characteristics Of Board Of Directors And Performance Of Gem Listed Companies From The Perspective Of Venture Capital Participation
by Yuan Yang & Yi Pan & Bingkun Yang & Wenli Huang - 1-40 Evidence On Monetary Policy Transmission During Tranquil And Turbulent Periods
by Chioma Peace Nwosu & Afees A. Salisu & Margaret Johnson Hilili & Izuchukwu Ifeanyi Okafor & Izuchukwu Oji-Okoro & Idis Adediran
2019, Volume 22, Issue 2
- 1-14 Real Output And Oil Price Uncertainty In An Oil Producing Country
by Bernard Njindan Iyke - 1-14 Revisiting Calendar Anomalies In Brics Countries
by Harald Kinateder & Kimberly Weber & Niklas F. Wagner - 1-18 Financial Structure Foundation Of The Urban–Rural Income Gap In China: An Investigation From The Perspective Of The Double Dual Structure
by Quan-Jing Wang & Gen-Fu Feng & Chun-Ping Chang - 1-18 Estimating The Equity Risk Premium: The Case Of Greater China
by Jie Zhu - 1-26 Monetary Policy Transmission And Credit Cards: Evidence From Indonesia
by K.P. Prabheesh & R. Eki Rahman
2019, Volume 22, Issue 1
- 1-12 Economics And Culture
by Iwan Jaya Aziz - 1-16 WHICH VARIABLES PREDICT INDONESIA’s INFLATION?
by Susan Sunila Sharma - 1-18 Venture Capital And Corporate Innovation Input From The Perspective Of Syndicated Investment
by Ning Jiang & Yuan Yang & Bingkun Yang & Wenli Huang - 1-18 Analysing The Demand For Financial Assets In Indonesia
by Eliyathamby A Selvanathan & Saroja Selvanathan - 1-20 Do Information And Communication Technologies Foster Economic Growth In Indonesia?
by Badri Narayan Rath & Danny Hermawan - 1-22 Capital Regulation And Islamic Banking Performance: Panel Evidence
by Mansor H. Ibrahim - 1-28 Modeling High Dimensional Asset Pricing Returns Using A Dynamic Skewed Copula Model
by Yuting Gong & Jufang Liang & Jie Zhu
January 2019, Volume 21, Issue 3
- 1-14 Financial Vulnerability And Income Inequality: New Evidence From Oecd Countries
by Nicholas Apergis - 1-20 Monetary Policy And Financial Conditions In Indonesia
by Solikin M. Juhro & Bernard Njindan Iyke - 1-20 The Influence Of Oil Prices On Indonesia’S Exchange Rate
by Seema Wati Narayan & Telisa Falianty & Lutzardo Tobing - 1-20 Determinants Of Indonesia’S Income Velocity Of Money
by Susan Sunila Sharma & Ferry Syarifuddin - 1-22 The Impacts Of Government R&D Expenditure On Innovation In Chinese Provinces: What’S The Role Of Corruption
by Xiao-Bo Zhou & Wei Wei & Chyi-Lu Jang & Chun-Ping Chang - 1-24 Impact Of Credit Ratings On Stock Returns
by Krishna Reddy & Rudi Bosman & Nawazish Mirza - 1-28 Prudential Regulatory Regimes, Accounting Standards, And Earnings Management In The Banking Industry
by Ali Ashraf & M. Kabir Hassan & Kyle J. Putnam & Arja Turunen-Red
January 2019, Volume -, Issue 12th BMEB Call for Papers Special Issue
- 1-12 A Study Of Indonesia’S Stock Market: How Predictable Is It?
by Dinh Hoang Bach Phan & Thi Thao Nguyen Nguyen & Dat Thanh Nguyen - 1-16 Understanding Asian Emerging Stock Markets
by Shaista Arshad & Omair Haroon & Syed Aun R. Rizvi - 1-16 Rural Residents Satisfaction And Influencing Factors In The Supply Of Public Goods In China
by Yaobo Shi & Xinxin Zhao - 1-18 Does Total Factor Productivity Converge Among Asean Countries?
by Badri Narayan Rath - 1-20 Intra-Industry Trade Between India And Indonesia
by C.T. Vidya & K.P. Prabheesh - 1-20 The Credit Risk Dynamics Of International Bonds: The Indonesian Case
by Kannan S. Thuraisamy - 1-26 A Test Of The Efficiency Of The Foreign Exchange Market In Indonesia
by Bernard Njindan Iyke
October 2018, Volume 21, Issue 2
- 1-8 Cultural Heritage And Innovation
by James B. Ang - 1-12 Do 'Labour' Councils Lower Economic Freedom?
by Nicholas Apergis - 1-14 Has Fintech Influenced Indonesia’S Exchange Rate And Inflation?
by Seema Narayan & Sahminan - 1-16 Divorce And Housing Price In 31 Provinces Of China
by Mingbo Zheng & Yin E Chen & Gen-Fu Feng & Jun Wen & Chun-Ping Chang - 1-18 Can Economic Policy Uncertainty Predict Exchange Rate And Its Volatility? Evidence From Asean Countries
by Solikin M. Juhro & Dinh Hoang Bach Phan - 1-26 Subprime Mortgages And Lending Bubbles
by Ali Yavuz Polat - 1-36 Understanding Indonesia’S Macroeconomic Data: What Do We Know And What Are The Implications?
by Susan Sunila Sharma & Lutzardo Tobing & Prayudhi Azwar
July 2018, Volume 21, Issue 1
- 1-10 Financialization And Stagnant Capital Accumulation In China
by Guanchun Liu & Chien-Chiang Lee - 1-14 Determinant Of Food Inflation : The Case Of Indonesia
by Bambang I. Ismaya & Donni F. Anugrah - 1-16 The Convergence Test Of Indonesia Banking Inefficiency: Do Macroeconomic Indicators Matter?
by Rudi Purwono & Mohammad Zeqi Yasin - 1-22 Portfolio Diversification Opportunities Within Emerging and Frontier Stock Markets: Evidence from Ten Asian Countries
by Seema Narayan & Mobeen Ur Rehman - 1-24 Finance And Inequality In Eight Asian Countries: Does Size Matter
by Mansor Ibrahim - 1-24 Macro Determinants Of The Real Exchange Rate In A Small Open Small Island Economy:Evidence From Mauritius Via Bma
by Bernard Njindan Iyke - 1-28 Contribution Of Financial Depth And Financial Access To Poverty Reduction In Indonesia
by Pinkan Mariskania Pasuhuk
April 2018, Volume 20, Issue 4
- 1-14 Impact Of Financial Inclusion On Financial Stability Based On Income Group Countries
by Azka Azifah Dienillah & Lukytawati Anggraeni & Sahara - 1-18 Cryptocurrencies From Islamic Perspectives:The Case Of Bitcoin
by Ahmed Kameel Mydin Meera - 1-20 Credit Risk Models For Five Major Sectors In Indonesia
by Ndari Surjaningsih & Ina Nurmalia Kurniati & Reni Indriani - 1-28 Disaggregation And Forecasting Of The Monthly Indonesian Gross Domestic Product (Gdp)
by Profita Sumunar Luthfiana & Nasrudin - 1-32 The Analysis Of Risk Profile And Financial Vulnerability Of Households In Indonesia
by Arlyana Abubakar & Rieska Indah Astuti & Rini Oktapiani - 1-36 The Denomination Effect On Spending Through Experimental Approach
by Bambang Juanda
January 2018, Volume 20, Issue 3
- 1-17 Market Structure And Competition Of Islamic Banking In Indonesia
by Sunarmo - 1-18 ANNs-BASED EARLY WARNING SYSTEM FOR INDONESIAN ISLAMIC BANKS
by Saiful Anwar & A.M Hasan Ali - 1-22 The Effect Of Financial Liberalization And Capital Flows On Income Volatility In Asia-Pacific
by Feriansyah & Noer Azam Achsani & Tony Irawan - 1-28 Online Banking Implementation: Risk Mapping Using Erm Approach
by Mochamad Aji Jaya Sakti & Noer Azam Achsani & Ferry Syarifuddin - 1-30 Nowcasting Household Consumption And Investment In Indonesia
by Tarsidin & Idham & Robbi Nur Rakhman - 1-32 Selection Of Early Warning Indicator To Identify Distress In The Corporate Sector: Crisis Prevention Strengthening Efforts
by Arlyana Abubakar & Rieska Indah Astuti & Rini Oktapiani
October 2017, Volume 20, Issue 2
- 1-20 Time-Varying Macroeconomic Impacts Of Global Economic Policy Uncertainty To A Small Open Economy: Evidence From Indonesia
by Sekar Utami Setiastuti - 1-22 The Impact Of New Trade Agenda To Macroeconomic Performance Of Indonesia And Japan In Short And Long Term
by Amalia Adininggar Widyasanti - 1-26 Asean Credit Growth And Asset Price Response To Global Financial Cycle
by Sri Andaiyani & Telisa Aulia Falianty - 1-26 Volatility Transmission Of The Main Global Stock Return Towards Indonesia
by Linda Karlina Sari & Noer Azam Achsani & Bagus Sartono - 1-32 A Dynamic Stochastic General Equilibrium (DSGE) Model to Assess the Impact of Structural Reforms on the Indonesian Economy
by Sahminan & Ginanjar Utama & Robbi Nur Rakhman - 1-32 A Dynamic Stochastic General Equilibrium (Dsge) Model To Assess The Impact Of Structural Reforms On The Indonesian Economy
by Sahminan & Ginanjar Utama & Robbi Nur Rakman & Idham
July 2017, Volume 20, Issue 1
- 1-20 Determinant Of Efficiency Of The Islamic Banking In Indonesia
by Nadiah Hidayati & Hermanto Siregar & Syamsul Hidayat Pasaribu - 1-22 The Exchange Rate Volatility And Export Performance: The Case Of Indonesia’S Exports To Japan And Us
by Shinta Fitriani - 1-28 Macroeconomic Condition And Banking Industry Performance In Indonesia
by Mahjus Ekananda - 1-28 Index Of Syariah Financial Inclusion In Indonesia
by Azwar Iskandar Umar
April 2017, Volume 19, Issue 4
- 1-18 Financial Intermediation Sector In Indonesia’s Production Pyramid
by Martin P.H. Panggabean - 1-20 Indonesia’s Fdi – Exports – Gdp Growth Nexus: Trade Or Investment - Driven?
by Panky Tri Febiyansah - 1-26 What Protect Emerging Markets From Developed Countries Unconventional Monetary Policy Spillover?
by Eko Sumando - 1-40 Tri-Cycles Analysis On Bankperformance: Panel Var Approach
by Denny Irawan & Febrio Kacarib
January 2017, Volume 19, Issue 3
- 1-16 Financial Stability In Azerbaijan: The Application Of Fuzzy Approach
by G.C. Imanov & H.S.Alieva & R.A.Yusifzadeh - 1-18 Pengaruh Finansialisasi Terhadap Ketimpangan Pendapatan Di Asean: Analisis Data Panel
by Pihri Buhaerah - 1-20 The Role Of Interest Rates And Provincial Monetary Aggregate In Maintaining Inflation In Indonesia
by Chandra Utama & Miryam B.L. Wijaya & Charvin Lim - 1-32 Local Financial Development And Firm Performance: Does Financial Outreach Really Matters Within Indonesian Archipelago?
by Fickry Widya Nugraha
October 2016, Volume 19, Issue 2
- 1-24 Early Warning System And Currency Volatility Management In Emerging Market
by Natasia Engeline S & Salomo Posmauli Matondang - 1-24 The Impact Of Geothermal Energy Sector Development On Electricity Sector In Indonesia Economy
by Nayasari Aissa & Djoni Hartono - 1-30 Red Flags And Fraud Prevention On Rural Banks
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