Content
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 BRICS
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
October 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
July 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
April 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
December 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 af Islamic Banking
by Mansor H. Ibrahim & Siong Hook Law
October 2019, Volume 22, Issue 3
- 1-16 A Financial Inclusion Index for Indonesia
by Hilman Hanivan & Nasrudin - 239-262 Do Prices Converge Among Indonesian Cities? An Empirical Analysis
by Bhushan Praveen Jangam & Vaseem Akram - 263-286 Exchange Rate and Interest Rate Differential in G7 Economies
by Peter Golit & Afees Salisu & Akinwunmi Akintola & Faustina Nsonwu & Itoro Umoren - 287-310 Characteristics of Board of Directors and Performance of GAM Listed Companies from the Perspective of Venture Capital Participation
by Yuan Yang & Yi Pan & Bingkun Yang & Wenli Huang - 311-350 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 - 367-382 Does Ownership Structure Matter? A Cost Efficiency Study of Life Insurance Firms in Indonesia
by Riski Wicaksono & Tri Mulyaningsih - 383-402 New Sources of Growth: The Role of Frugal Innovation and Transformational Leadership
by Solikin M. Juhro & A . Farid Aulia
July 2019, Volume 22, Issue 2
- 137-162 Monetary Policy Transmission and Credit Cards: Evidence from Indonesia
by K.P. Prabheesh & R. Eki Rahman - 163-176 Real Output and Oil Price Uncertainty in an Oil Producing Country
by Bernard Njindan Iyke - 177-194 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 - 195-212 Estimating the Equity Risk Premium: The Case of Greater China
by Jie Zhu - 213-236 Revisiting Calendar Anomalies in BRICS Countries
by Harald Kinateder & Kimberly Weber & Niklas F. Wagner
April 2019, Volume 22, Issue 1
- 1-18 Venture Capital and Corporate Innovation Input from the Perspective of Syndicated Investment
by Ning Jiang & Yuan Yang & Bingkun Yang & Wenli Huang - 1-28 Modeling High Dimensional Asset Pricing Returns Using a Dynamic Skewed Copula Model
by Yuting Gong & Jufang Liang & Jie Zhu - 47-68 Capital Regulation and Islamic Banking Performance: Panel Evidence
by Mansor H. Ibrahim - 69-86 Analysing the Demand for Financial Assets in Indonesia
by Eliyathamby A Selvanathan & Saroja Selvanathan - 87-102 Which Variables Predict Indonesia’s Inflation?
by Susan Sunila Sharma - 103-122 Do Information and Communication Technologies Foster Economic Growth in Indonesia?
by Badri Narayan Rath & Danny Hermawan - 123-132 Economics and Culture
by Iwan Jaya Aziz
January 2019, Volume 21, Issue 12th BMEB Call for Papers Special Issue
- 439-464 A Test of the Efficiency of the Foreign Exchange Market in Indonesia
by Bernard Njindan Iyke - 465-476 A Study of Indonesia’s Stock Market: How Predictable is it?
by Dinh Hoang Bach Phan & Thi Thao Nguyen Nguyen & Dat Thanh Nguyen - 477-494 Does Total Factor Productivity Converge Among Asean Countries?
by Badri Narayan Rath - 495-510 Understanding Asian Emerging Stock Markets
by Shaista Arshad & Omair Haroon & Syed Aun R. Rizvi - 511-530 Intra-Industry Trade between India and Indonesia
by C.T. Vidya & K.P. Prabheesh - 531-550 The Credit Risk Dynamics of International Bonds: The Indonesian Case
by Kannan S. Thuraisamy - 551-566 Rural Residents Satisfaction and Influencing Factors in the Supply of Public Goods in China
by Yaobo Shi & Xinxin Zhao
January 2019, Volume 21, Issue 3
- 283-302 Monetary Policy and Financial Conditions in Indonesia
by Solikin M. Juhro & Bernard Njindan Iyke - 303-322 The Influence of Oil Prices on Indonesia’s Exchange Rate
by Seema Wati Narayan & Telisa Falianty & Lutzardo Tobing - 323-342 Determinants of Indonesia’s Income Velocity of Money
by Susan Sunila Sharma & Ferry Syarifuddin - 343-366 Impact of Credit Ratings on Stock Returns
by Krishna Reddy & Rudi Bosman & Nawazish Mirza - 367-394 Prudential Regulatory Regimes, Accounting Standards, and Earnings Management in the Banking Industry
by Ali Ashraf & M. Kabir Hassan & Kyle J. Putnam & Arja Turunen-Red - 395-408 Financial Vulnerability and Income Inequality: New Evidence from OECD Countries
by Nicholas Apergis - 409-430 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
October 2018, Volume 21, Issue 2
- 141-148 Cultural Heritage and Innovation
by James B. Ang - 149-160 Do 'LABOUR' Councils Lower Economic Freedom?
by Nicholas Apergis - 161-176 Divorce and Housing Price in 31 Provinces of China
by Mingbo Zheng & Yin E Chen & Gen-Fu Feng & Jun Wen & Chun-Ping Chang - 177-190 Has Fintech Influenced Indonesia’s Exchange Rate and Inflation?
by Seema Wati Narayan & Sahminan - 191-216 Subprime Mortgages and Lending Bubbles
by Ali Yavuz Polat - 217-250 Understanding Indonesia’s Macroeconomic Data: What do we Know and What are the Implications?
by Susan Sunila Sharma & Lutzardo Tobing & Prayudhi Azwar - 251-268 Can Economic Policy Uncertainty Predict Exchange Rate and Its Volatility? Evidence from Asean Countries
by Solikin M. Juhro & Dinh Hoang Bach Phan
July 2018, Volume 21, Issue 1
- 1-22 Portfolio Diversification Opportunities Within Emerging and Frontier Stock Markets: Evidence from Ten Asian Countries
by Seema Narayan & Mobeen Ur Rehman - 23-32 Financialization and Stagnant Capital Accumulation in China
by Guanchun Liu & Chien-Chiang Lee - 33-56 Finance and Inequality in Eight Asian Countries: Does Size Matter
by Mansor Ibrahim - 57-80 Macro Determinants of the Real Exchange Rate in a Small Open Small Island Economy:Evidence from Mauritius via BMA
by Bernard Njindan Iyke - 81-94 Determinant of Food Inflation : The Case of Indonesia
by Bambang I. Ismaya & Donni F. Anugrah - 95-122 Contribution of Financial Depth and Financial Access to Poverty Reduction in Indonesia
by Pinkan Mariskania Pasuhuk - 123-138 The Convergence Test of Indonesia Banking Inefficiency: Do Macroeconomic Indicators Matter?
by Rudi Purwono & Mohammad Zeqi Yasin
April 2018, Volume 20, Issue 4
- 409-428 Credit Risk Models for Five Major Sectors in Indonesia
by Ndari Surjaningsih & Ina Nurmalia Kurniati & Reni Indriani - 429-442 Impact of Financial Inclusion on Financial Stability Based on Income Group Countries
by Azka Azifah Dienillah & Lukytawati Anggraeni & Sahara - 443-474 The Analysis of Risk Profile and Financial Vulnerability of Households in Indonesia
by Arlyana Abubakar & Rieska Indah Astuti & Rini Oktapiani - 475-492 Cryptocurrencies from Islamic Perspectives: The Case of Bitcoin
by Ahmed Kameel Mydin Meera - 493-528 The Denomination Effect on Spending Through Experimental Approach
by Bambang Juanda - 529-556 Disaggregation and Forecasting of the Monthly Indonesian Gross Domestic Product (GDP)
by Profita Sumunar Luthfiana & Nasrudin
January 2018, Volume 20, Issue 3
- 257-278 The Effect of Financial Liberalization and Capital Flows on Income Volatility in ASIA-PACIFIC
by Feriansyah & Noer Azam Achsani & Tony Irawan - 279-306 Online Banking Implementation: Risk Mapping Using ERM Approach
by Mochamad Aji Jaya Sakti & Noer Azam Achsani & Ferry Syarifuddin - 307-324 Market Structure and Competition of Islamic Banking in Indonesia
by Sunarmo - 325-342 ANNs-BASED Early Warning System for Indonesian Islamic Banks
by Saiful Anwar & A.M Hasan Ali - 343-374 Selection of Early Warning Indicator to Identify Distress in the Corporate Sector: Crisis Prevention Strengthening Efforts
by Arlyana Abubakar & Rieska Indah Astuti & Rini Oktapiani - 375-403 Nowcasting Household Consumption and Investment in Indonesia
by Tarsidin & Idham & Robbi Nur Rakhman
October 2017, Volume 20, Issue 2
- 129-148 Time-Varying Macroeconomic Impacts of Global Economic Policy Uncertainty to a Small Open Economy: Evidence from Indonesia
by Sekar Utami Setiastuti - 149-180 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 - 149-180 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 - 181-202 The Impact of New Trade Agenda to Macroeconomic Performance of Indonesia and Japan in Short and Long Term
by Amalia Adininggar Widyasanti - 203-228 Asean Credit Growth and Asset Price Response to Global Financial Cycle
by Sri Andaiyani & Telisa Aulia Falianty - 229-256 Volatility Transmission of the Main Global Stock Return Towards Indonesia
by Linda Karlina Sari & Noer Azam Achsani & Bagus Sartono
July 2017, Volume 20, Issue 1
- 1-28 Quarterly Outlook on Monetary, Banking, and Payment System in Indonesia: Quarter II, 2017
by Bambang Pramono & Syachman Perdymer & Handri Adiwilaga & Nurkholisoh Ibnu Aman & Rio Khasananda & Saraswati & Illinia A. Riyadi & Bintari Dewi Darmaputri - 29-48 Determinant of Efficiency of the Islamic Banking in Indonesia
by Nadiah Hidayati & Hermanto Siregar & Syamsul Hidayat Pasaribu - 49-70 The Exchange Rate Volatility and Export Performance: The Case of Indonesia's Exports to Japan and Us
by Shinta Fitriani - 71-98 Macroeconomic Condition and Banking Industry Performance in Indonesia
by Mahjus Ekananda - 99-126 Index of Syariah Financial Inclusion in Indonesia
by Azwar Iskandar Umar
April 2017, Volume 19, Issue 4
- 385-402 Financial Intermediation Sector in Indonesia's Production Pyramid
by Martin P.H. Panggabean - 403-442 Tri-Cycles Analysis on Bankperformance: Panel VAR Approach
by Denny Irawan & Febrio Kacarib - 443-468 What Protect Emerging Markets from Developed Countries Unconventional Monetary Policy Spillover?
by Eko Sumando - 469-488 Indonesia's FDI Exports GDP Growth Nexus: Trade or Investment - Driven?
by Panky Tri Febiyansah
January 2017, Volume 19, Issue 3
- 267-286 The Role of Interest Rates and Provincial Monetary Aggregate in Maintaining Inflation in Indonesia
by Chandra Utama & Miryam B.L. Wijaya & Charvin Lim - 287-318 Local Financial Development and Firm Performance: Does Financial Outreach Really Matters within Indonesian Archipelago?
by Fickry Widya Nugraha - 319-334 Financial Stability in Azerbaijan: The Application of Fuzzy Approach
by G.C. Imanov & H.S.Alieva & R.A.Yusifzadeh - 335-352 Pengaruh Finansialisasi terhadap Ketimpangan Pendapatan di Asean: Analisis Data Panel
by Pihri Buhaerah
October 2016, Volume 19, Issue 2
- 129-152 Early Warning System and Currency Volatility Management in Emerging Market
by Natasia Engeline S & Salomo Posmauli Matondang - 153-176 The Impact of Geothermal Energy Sector Development on Electricity Sector in Indonesia Economy
by Nayasari Aissa & Djoni Hartono - 177-206 Red Flags and Fraud Prevention on Rural Banks
by Ni Wayan Rustiarini & Ni Nyoman Ayu Suryandari & I Kadek Satria Nova - 207-238 Impact oOf Redenomination on Price, Volume, and Value of Transaction: An Experimental Economic Approach
by Danti Astrini & Bambang Juanda & Noer Azam Achsani
July 2016, Volume 19, Issue 1
- 21-38 Competition and Leader-Follower Interactions: Panel Estimates on Indonesian Banking
by Pakasa Bary & Rio Khasananda & Rahmat Eldhie Sya'banni & Peter Abdullah - 39-56 Underground Economy in Indonesia
by Sri Juli Asdiyanti Samuda - 57-80 Determinant of Microcredit Repayment
by Farida & Hermanto Siregar & Nunung Nuryartono & Eka Intan KP - 81-106 The Islamic Banking and the Economic Integration in Asean
by Solihin & Noer Azam Achsani & Imam T. Saptono
April 2016, Volume 18, Issue 4
- 379-409 Central Bank Policy Mix: Key Concepts and Indonesia's Experience
by Perry Warjiyo - 409-430 Dampak Inklusi Keuangan terhadap Stabilitas Sistem Keuangan di Asia
by Azka Azifah Dienillah & Lukytawati Anggraeni - 431-448 Macroeconomics Indicators and Bank Stability: A Case of Banking in Indonesia
by Norzitah Abdul Karim & Syed Musa Syed Jaafar Al-Habshi & Muhamad Abduh - 449-474 Interest Rate Metris System: Alternative Strategy for Banking Industry
by Stephanus Ivan Goenawan
July 2015, Volume 18, Issue 2
- 129-156 The Determinants of Bank's Efficiency in Indonesia
by Astoeti Wahjoe Widiarti & Hermanto Siregar & Trias Andati - 157-182 Intra ASEAN-5 Capital Flows: Do They Represent Neoclassical Belief or Lucas Paradox?
by Nurul Qolbi & Akhmad Syakir Kurnia - 183-206 Dampak Otonomi Keuangan Daerah terhadap Pertumbuhan Ekonomi di Indonesia
by Nurhemi & Guruh Suryani R - 207-228 External Shocks and Poverty: How Recession in Europe, Japan, and China Affects the Indonesian Poor
by Arief Anshory Yusuf
July 2015, Volume 18, Issue 1
- 21-44 The Role of Macroprudential Policy to Manage Exchange Rate Volatility, Excess Banking Liquidity and Credits
by Muhammad Edhie Purnawan & M. Abd. Nasir - 45-60 The Market Structure of the Bank, Its Performance, And the Macroprudential Policy
by Tumpak Silalahi & Adler H.Manurung & Yuli Teguh Hidayat - 61-84 Pengaruh Misalignment Nilai Tukar terhadap Kebijakan Safeguards di ASEAN-5
by Dila Vindayani & Dedi Budiman Hakim & Alla Asmara - 85-106 The Branch Expansion and the Performance of the Banks: The Case of Indonesia
by Hery Prasetyo & Sony Sunaryo
April 2015, Volume 17, Issue 4
- 379-402 The Impact of Macroeconomic Condition on the Bank's Performance in Indonesia
by Aviliani & Hermanto Siregar & Tubagus Nur Ahmad Maulana & Heni Hasanah - 403-432 Cross Border Portfolio Investment and the Volatility of Stock Market Index and Rupiah's Rate
by Al Muntasir - 433-456 Dampak Perdagangan Internasional Indonesia Terhadap Kesejahteraan Masyarakat: Aplikasi Structural Path Analysis
by Sulthon Sjahril Sabaruddin - 457-480 Strategi Peningkatan Efisiensi Biaya pada Bank Umum Syariah Berbasis Stochastic Frontier Approach dan Data Envelopment Analysis
by Rafika Rahmawati
January 2015, Volume 17, Issue 3
- 1-20 The Role of Currency Hedging on Firm Performance: A Panel Data Evidence in Indonesia
by Fiskara Indawan & Sri Fitriani & Indriani Karlina & Melva Viva Grace - 279-298 The Role of Currency Hedging on Firm Performance: A Panel Data Evidence in Indonesia
by Fiskara Indawan & Sri Fitriani & Indriani Karlina & Melva Viva Grace - 299-314 Risk of Indonesian Banks: An Application of Historical Expected Shortfall Method
by Nevi Danila & Bunyamin & Siti Munfaqiroh - 315-338 The Persistency and The Sustainability of The Indonesia's Current Account Deficit
by Tuti Eka Asmarani & Telisa Aulia Falianty - 340-356 The Effect of the Ownership and the Global Crisis on the Income Diversification of Indonesian Banks
by Murharsito
October 2014, Volume 17, Issue 2
- 1-18 Determinant of Non Performing Loan: The Case of Islamic Bank in Indonesia
by Irman Firmansyah - 167-196 Penentu Keberhasilan Redenominasi Mata Uang: Pendekatan Historis dan Eksperimental
by Andika Pambudi & Bambang Juanda & D.S. Priyarsono Priyarsono - 197-220 Foreign Exchange Expectations in Indonesia: Regime Switching Chartists and Fundamentalists Approach
by Ferry Syarifuddin & Noer Azam Achsani & Dedi Budiman Hakim & Toni Bakhtiar - 197-220 Foreign Exchange Expectations in Indonesia: Regime Switching Chartists & Fundamentalists Approach
by Ferry Syarifuddin & Noer Azam Achsani & Dedi Budiman Hakim & Toni Bakhtiar - 197-220 Foreign Exchange Expectations in Indonesia: Regime Switching Chartists & Fundamentalists Approach
by Ferry Syarifuddin & Noer Azam Achsani & Dedi Budiman Hakim & Toni Bakhtiar - 221-239 Pemanfaatan Sekuritisasi Aset dalam Mendorong Sektor Riil: Alternatif Pembiayaan UMKM
by Wijoyo Santoso & Shinta R.I. Soekro & Darmansyah Darmansyah & Hilde D. Sihaloho - 221-239 Asset Securitization and the Real Sector Performance: An Alternative Source of Financing for SME's
by Wijoyo Santoso & Shinta R.I. Soekro & Darmansyah & Hilde D. Sihaloho
July 2014, Volume 17, Issue 1
- 23-60 Internalisasi Sektor Perbankan dalam Model DSGE
by Harmanta Harmanta & Nur M. Adhi Purwanto & Fajar Oktiyanto Oktiyanto - 62-98 Pengaruh Infrastruktur terhadap Pertumbuhan Ekonomi Indonesia
by Novi Maryaningsih & Oki Hermansyah & Myrnawati Savitri - 99-128 Konvergensi Penerimaan dan Pengeluaran Pemerintah Provinsi di Indonesia: Pendekatan Data Panel Dinamis Spasial
by Hermada Dekiawan - 129-145 The Number of Financial Regulatory Authorities and Financial Stability: Cross-Country Experiences
by Wahyoe Soedarmono & Romora Edward Sitorus
April 2014, Volume 16, Issue 4
- 259-288 Analisis Pengaruh Harga Crude Palm Oil (CPO) Dunia terhadap Nilai Tukar Riil Rupiah
by Hilda Aprina - 295-314 The Impact of Crude Palm Oil Price on Rupiah's Rate
by Hilda Aprina - 315-346 The Regional Impact Transmission via International Trade: An ASIAN-IO Approach
by Ibrahim & Tri Winarno & Melva Viva & Yanfitri - 339-372 Transmisi dampak Melalui Jaringan Perdagangan: Pendekatan Asian-IO
by Ibrahim & Tri Winarno & Melva Viva & Yanfitri - 347-368 Threshold Of Real Exchange Rate and the Performance of Manufacturing Industry in Indonesia
by Ndari Surjaningsih & Novi Maryaningsih & Myrnawati Savitri - 369-386 Determinant of Capital Ratio: A Panel Data Analysis on State-Owned Banks in Indonesia
by Pamuji Gesang Raharjo & Dedi Budiman Hakim & Adler Haymans Manurung & Tubagus Nur Ahmad Maulana - 373-394 Threshold of Real Exchange Rate and the Performance of Manufacturing Industry in Indonesia
by Ndari Surjaningsih & Novi Maryaningsih & Myrnawati Savitri - 395-414 Determinant of Capital Ratio: A Panel Data Analysis on State-Owned Banks in Indonesia
by Pamuji Gesang Raharjo & Dedi Budiman Hakim & Adler Haymans Manurung & Tubagus Nur Ahmad Maulana
January 2014, Volume 16, Issue 3
- 1-26 The Impact of Capital Reversal and the Threshold of Current Account Deficit on Rupiah
by M. Noor Nugroho & Ibrahim & Tri Winarno & Meily Ika Permata - 1-30 The Dynamics of Total Factor Productivity of Medium and Large Manufacturing in Indonesia
by Ndari Surjaningsih & Bayu Panji Permono - 183-204 Interest Rate Risk in Turkish Financial Markets Across Different Time Periods
by Durmus Ozdemir & Harald Schmidbauer - 195-218 Risiko Tingkat Suku Bunga di Pasar Keuangan Turki pada Periode Waktu yang Berbeda
by Durmus Ozdemir & Harald Schmidbauer - 205-230 The Impact of Capital Reversal and the Threshold of Current Account Deficit on Rupiah
by M. Noor Nugroho & Ibrahim & Tri Winarno & Meily Ika Permata - 219-246 Dampak Pembalikan Modal dan Threshold Defisit Neraca Berjalan terhadap Nilai Tukar Rupiah
by M. Noor Nugroho & Ibrahim Ibrahim & Tri Winarno & Meily Ika Permata - 231-258 Fund Management and the Liquidity of The Bank
by Gantiah Wuryandani & Ramlan Ginting & Dudy Iskandar & Zulkarnain Sitompul - 247-276 Pengelolaan Dana dan Likuiditas Bank
by Gantiah Wuryandani & Ramlan Ginting & Dudy Iskandar & Zulkarnain Sitompul - 259-288 The Dynamics of Total Factor Productivity Ofmedium and Large Manufacturing in Indonesia
by Gantiah Wuryandani - 277-308 Dinamika Total Factor Productivity Industri Besar dan Sedang Indonesia
by Ndari Surjaningsih & Bayu Panji Permono
October 2013, Volume 16, Issue 2
- 91-114 Systemic Risk and Financial Linkages Measurement in The Indonesian Banking
by Sri Ayomi & Bambang Hermanto - 103-125 Mengukur Risiko Sistemik dan Keterkaitan Finansial Perbankan di Indonesia
by Sri Ayomi & Bambang Hermanto - 115-136 Profitability, Growth Opportunity, Capital Structure and the Firm Value
by Sri Hermuningsih - 127-148 Pengaruh Profitabilitas, Growth Opportunity, Struktur Modal Terhadap Nilai Perusahaan pada Perusahaan Publik di Indonesia
by Sri Hermuningsih - 137-154 Decentralization and Regional Inflation in Indonesia
by Darius Tirtosuharto & Handri Adiwilaga - 149-166 Decentralization and Regional Inflation in Indonesia
by Darius Tirtosuharto & Handri Adiwilaga - 155-176 Efficiency of Islamic Banks Using Two Stage Approach of Data Envelopment Analysis
by Muhammad Faza Firdaus & Muhamad Nadratuzzaman Hosen - 167-188 Efisiensi Bank Umum Syariah Menggunakan Pendekatan Two-Stage Data Envelopment Analysis
by Muhammad Faza Firdaus & Muhamad Nadratuzzaman Hosen
July 2013, Volume 16, Issue 1
- 3-18 The Economic Growth and the Regional Characteristics : The Case of Indonesia
by Yesi Hendriani Supartoyo & Jen Tatuh & Recky H. E. Sendouw - 3-19 The Economic Growth and the Regional Characteristics: The Case of Indonesia
by Yesi Hendriani Supartoyo & Jen Tatuh & Recky H. E. Sendouw - 19-38 The Import Restriction of Horticultural Product, Domestic Activities, Price Level, and the Welfare
by Wisnu Winardi - 21-41 Dampak Pembatasan Impor Hortikultura terhadap Aktivitas Perekonomian, Tingkat Harga dan Kesejahteraan
by Wisnu Winardi - 39-72 The Dynamics of Indonesian Inflation: What can We Learn from Inflation Disaggregation?
by IGP Wira Kusuma - 43-79 The Dynamics of Indonesia Inflation: What can we Learn from Inflation Disaggregation?
by IGP Wira Kusuma - 73-86 Monetary Policy Model for Open Economy of Indonesia
by Umar Juoro - 81-97 Model Kebijakan Moneter dalam Perekonomian Terbuka untuk Indonesia
by Umar Juoro
April 2013, Volume 15, Issue 4
- 321-352 Measuring the Time Inconsistency of Monetary Policy in Indonesia
by Rini Rahmahdian & Perry Warjiyo - 335-366 Mengukur Time Inconsistency Kebijakan Moneter di Indonesia
by Rini Rahmahdian & Perry Warjiyo - 353-376 The Effect of Central Bank Independence on Price Stability: The Case of Indonesia
by Yessy Andriani & Prof. Prasanna Gai - 367-390 The Effect of Central Bank Independence on Price Stability: The Case of Indonesia
by Yessy Andriani & Prasanna Gai - 377-400 The Islamic Capital Market Volatility: A Comparative Study between in Indonesia and Malaysia
by Muhammad Syafii Antonio & Hafidhoh Hafidhoh & Hilman Fauzi - 391-415 The Islamic Capital Market Volatility: A Comparative Study between in Indonesia and Malaysia
by Muhammad Syafii Antonio & Hafidhoh Hafidhoh & Hilman Fauzi - 401-434 Banking Industry Competition in Indonesia
by Ratna Sri Widyastuti & Boedi Armanto - 417-439 Kompetisi Industri Perbankan Indonesia
by Ratna Sri Widyastuti & Boedi Armanto
January 2013, Volume 15, Issue 3
- 3-22 Risk Taking Behavior of Indonesian Banks: Analysis on the Impact of Deposit Insurance Corporation Establishment
by Moch Doddy Ariefianto & Soenartomo Soepomo - 3-25 Risk Taking Behavior of Indonesian Banks: Analysis on the Impact of Deposit Insurance Cooperation Establishment
by Moch Doddy Ariefianto & Soenartomo Soepomo
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