e-ISSN 2356-3818       print ISSN 1979-8997

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Issue Title
Vol 4, No 2 (2012): July 2012 A Study of Financial Performance and Stock Return in IPO Underpricing Phenomenon on the Indonesia Stock Exchange (IDX) Abstract   PDF
Agus Irfani
Vol 7, No 2 (2015): July 2015 Ambiguity towards Multiple Historical Performance Information Signals: Evidence from Indonesian Open-Ended Mutual Fund Investors Abstract   PDF
Haris Pratama Loeis, Ruslan Prijadi
Vol 3, No 1 (2011): January 2011 An Evaluation of Indonesian Capital Market Co-integration with ASEAN 4 to Enter the ASEAN Capital Market Integration in Accordance to ASEAN Economic Community (AEC) 2020 Scheme: Should Indonesia Enter or Postpone? Abstract   PDF
Barli Suryanta
Vol 2, No 2 (2010): July 2010 An Investigation of Psychological Factors Inluencing Investment Decision Making Abstract   PDF
Hsin Hue Chang
Vol 4, No 1 (2012): January 2012 An Examination of Herd Behavior in The Indonesian Stock Market Abstract   PDF
Adi Vithara Purba, Ida Ayu Agung Faradynawati
Vol 6, No 2 (2014): July 2014 Analysis the Efficiency and Productivity of Indonesian Pharmaceutical Public Companies Using Data Envelopment Analysis Abstract   Untitled
Dewi Hanggraeni
Vol 5, No 1 (2013): January 2013 Applying Monte Carlo Concept and Linear Programming in Modern Portfolio Theory to Obtain Best Weighting Structure Abstract   Untitled
Tumpal Sihombing
Vol 1, No 1 (2009): January 2009 Are South East Asia Countries Capital Markets Characterized by Nonlinear Structures? An Investigation from Indonesia, Philippine and Singapore Capital Market Indices Abstract   Untitled
Minarnita Yanti Verawati Bakara, Bambang Hermanto
Vol 8, No 2 (2016): July 2016 Are The ASEAN-5 Foreign Exchange Market Efficient? Evidence From Indonesia, Thailand, Malaysia, Singapore, and Philippines: Post-Global Economic Crisis 2008 Abstract   PDF
Aditya Andika Putra, Hanny Lindawati, Sarah Fitri Sari
Vol 4, No 2 (2012): July 2012 Assessing the Efficiency of Jakarta Islamic Index-Linked Investing Abstract   PDF
Anwar Salahuddin, Anton Hermansyah
Vol 8, No 1 (2016): January 2016 Bank Income Diversification from Stock Market Perspective: Evidence from ASEAN+3 Abstract   PDF
Agnes Helena Natalia, Muchamad Rudi Kurniawan, Rievinska R. Firsty
Vol 8, No 2 (2016): July 2016 Behavioral trading strategies and investor sentiment: Empirical research in Tehran stock exchange (TSE) Abstract   PDF
kiarash mehrani, Fereydoon Rahnamay Roodposhti, Hashem Nekomaram, Ali Saeedi
Vol 11, No 1 (2019): Vol 11, No 1 (2019): January 2019 Bowman’s Paradox: Prospect-Theory-Based Risk-Return Relationship (Some Recent Evidence in Indonesia) Abstract   PDF
Rikko Sajjad Nuir, Asri Marwan
Vol 7, No 1 (2015): January 2015 Catching the Behavior of Stock Market: Numerical Approach to Estimate the Catalytic Chemical Model Parameters Abstract   PDF
Zaäfri Ananto Husodo, Lenny Suardi, Ririen Setiati, Risca Fleureta Hudiyono
Vol 3, No 2 (2011): July 2011 Causal Nexus between Stock Price, Demand for Money, Interest Rate, Foreign Institutional Investment, and Exchange Rates in India: A Post Subprime Crisis Analysis Abstract   PDF
Iti Vyas, Narayan Prasad, Alok Kumar Mishra
Vol 9, No 1 (2017): January 2017 CEO Turnover and Firm Performance In Indonesia Abstract   PDF
Doddy Setiawan, Lian Kee Phua, Hong Kok Chee, Irwan Trinugroho
Vol 5, No 2 (2013): July 2013 CEO Turnover and Market Reaction in Indonesia Abstract   Untitled  
Doddy Setiawan, Lian Kee Phua, Hong Kok Chee
Vol 6, No 1 (2014): January 2014 Cointegration and Causality between Financial Development and Economic Growth: Evidence from Morocco Abstract   Untitled
Abdellatif Chatri, Abdelouahab Maaruf
Vol 3, No 2 (2011): July 2011 Comparison in Measuring Effectiveness of Momentum and Contrarian Trading Strategy in Indonesian Stock Exchange Abstract   PDF
Rizky Luxianto
Vol 7, No 1 (2015): January 2015 Comparison of Portfolio Selection and Performance: Shari’ah-Compliant and Socially Responsible Investment Portfolios Abstract   PDF
Mehmet Asutay, Nur Dhani Hendranastiti
Vol 9, No 2 (2017): July 2017 Concurrent Momentum and Contrarian Strategies: Evidence from Indonesia Abstract   PDF
Abdur Rafik, Syifa Primaratri Marizka
Vol 7, No 2 (2015): July 2015 Conventional and Islamic indices in Indonesia: A Comparison on Performance, Volatility, and the Determinants Abstract   PDF
Nika Pranata, Nurzanah Nurzanah
Vol 9, No 2 (2017): July 2017 Corporate Financial Flexibility, Investment Activities, And Cash Holding: Evidence From Indonesia Abstract   PDF
Rahmat Heru Setianto, Addenver Kusumaputra
Vol 10, No 2 (2018): July 2018 Cost of Financial Distress and Firm Performance Abstract   PDF
Estu Widarwati, Dewi Sartika
Vol 6, No 2 (2014): July 2014 Cross-Border Mergers and Acquisitions in China: A Test of the Free Cash Flow Hypothesis Abstract   Untitled
Yane Chandera, Lukas Setia Atmaja
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