e-ISSN 2356-3818       print ISSN 1979-8997

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Issue Title
Vol 8, No 2 (2016): July 2016 Is ASEAN Ready for Banking Integration? Evidence from Interest Rate Convergence Abstract   PDF
Fazelina Sahul Hamid, Hooi Hooi Lean
Vol 8, No 2 (2016): July 2016 Jakarta Interbank Spot Dollar Rate (JISDOR) as The Reference Rate: Is It Effective? Abstract   PDF
Marwadi Marwadi, Rofikoh Rokhim
Vol 10, No 2 (2018): July 2018 Long Memory in the Indonesia Stock Exchange Abstract   PDF
Martin P.H. Panggabean
Vol 2, No 1 (2010): January 2010 Market, Country and World Effects on Regional Equity Market Integration Abstract   PDF
Chee Wooi Hooy, Kim Leng Goh
Vol 2, No 1 (2010): January 2010 Market Integration and Financial Crisis: New Evidence from Asian Paciic Markets Abstract   PDF
Adwin Surja Atmadja, Yanhui Wu, Wan Juli
Vol 4, No 1 (2012): January 2012 Market Price of Risk Analysis from Three Major Industrial Countries on the Stability of the Brennan-Schwartz Model Abstract   PDF
Tri Handhika
Vol 6, No 1 (2014): January 2014 Month of the Year and Pre- Holiday Effects In Indonesia and Malaysia Shari’ah Compliance Abstract   Untitled
Helma Malini, Mohamad Jais
Vol 3, No 2 (2011): July 2011 Moon Effect on Paciic Basin Stock Markets Abstract   PDF
Rayenda Khresna Brahman, Chee Wooi Hooy, Zamri Ahmad
Vol 5, No 2 (2013): July 2013 New Liquidity Measurement: Mechanical Approach (Case of Pre Opening Session on IDX) Abstract
Luluk Kholisoh
Vol 9, No 2 (2017): July 2017 On the Robustness of The Extended Fama-French Three Factor Model Abstract   PDF
Intan Nur Awwaliyah, Zaafri Ananto Husodo
Vol 7, No 2 (2015): July 2015 Outreach and Profitability Trade-off: Does Synergy between Islamic Banking and Islamic Microfinance Institutions Matter? Abstract   PDF
Ruri Eka Fauziah Nasution, Habib Ahmed
Vol 2, No 1 (2010): January 2010 Performance Measurement Model for the Consumer Industry Listed on Indonesia Stock Exchange: DEA and SFA Approaches Abstract   PDF
T.Handono Eko Prabowo, Emilyn Cabanda
Vol 2, No 1 (2010): January 2010 Price Manipulation in Indonesian Capital Market: Empirical Analysis on Stockbroker’s Behavior and Interaction Pattern between Domestic Investors and Foreign Investors Abstract   PDF
Buddi Wibowo
Vol 1, No 1 (2009): January 2009 R&D Expenses and Share Value in The Japanese Stock Market Abstract   Untitled
Sophie Nivoix, Pascal Ngunyen
Vol 1, No 2 (2009): July 2009 Reporting Intellectual Capital in Annual Reports: Evidence from Indonesia Abstract   PDF
Parulian Sihotang, Yulia Sanjaya
Vol 5, No 2 (2013): July 2013 Response Asymmetry in Spillover Volatility: An Empirical Study in the Indonesia and Singapore Stock Market Abstract   Untitled
Siti Saadah
Vol 3, No 1 (2011): January 2011 Risk and Real Estate Investment Trust (REITs) Return: Evidence from Listed Public Trust Abstract   PDF
Nor Edi Azhar Binti Mohamad, Noriza Mohd Saad, Suzaida Bakar
Vol 3, No 1 (2011): January 2011 Role of Indian Commodity Derivatives Market in Hedging Price Risk: Estimation of Constant and Dynamic Hedge Ratio, and Hedging Effectiveness Abstract   PDF
Brajesh Kumar, Ajay Pandey
Vol 6, No 1 (2014): January 2014 Searching for Determinants of Pay or Not to Pay Cash Dividend in Indonesia Abstract   Untitled  
Triasesiarta Nur, Kresnohadi Ariyoto Karnen
Vol 10, No 1 (2018): January 2018 Sensitivity of Liquidity, Investment Decision, and Financial Constraints Abstract   PDF
Riskin Hidayat, Sugeng Wahyudi, Harjum Muharam
Vol 9, No 1 (2017): January 2017 Stock Returns and Inflation: Evidence from Emerging Markets in Asia Abstract   PDF
Melati Laksmindra Isnandari, Dony Abdul Chalid
Vol 1, No 1 (2009): January 2009 Structural Model of the IDX Credibility Abstract   Untitled
Djoko Wintoro
Vol 2, No 2 (2010): July 2010 Style Analysis: Asset Allocation & Performance Evaluation of Indonesian Equity Funds, April 2004 – March 2009 Abstract   PDF
Boniarga Mangiring, Zaafri Ananto Husodo
Vol 4, No 1 (2012): January 2012 Tax Incentive, Public Share Proportion, and Firm Performance: Evidence from Indonesian Capital Market Abstract   PDF
Vierly Ananta Upa
Vol 1, No 2 (2009): July 2009 Ten-Year after the Asian Financial Crisis: Understanding Spread Determinants on New Emerging Market Bonds Abstract
Gracia S Ugut
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