Macroeconomic Risk and Growth in the Southeast Asian Countries: Insight from Indonesia
Emerging markets offer a unique financial setting, contrasting with developed markets. ISETE-33gives fresh insight into financial and economic issues in Indonesia and ASEAN countries, written by authors from diverse backgrounds
Gespeichert in:
1. Verfasser: | |
---|---|
Format: | Elektronisch E-Book |
Sprache: | English |
Veröffentlicht: |
Bingley
Emerald Publishing Limited
2023
|
Ausgabe: | 1st ed |
Schriftenreihe: | International Symposia in Economic Theory and Econometrics Series
v.33, Part A |
Schlagworte: | |
Online-Zugang: | DE-2070s |
Zusammenfassung: | Emerging markets offer a unique financial setting, contrasting with developed markets. ISETE-33gives fresh insight into financial and economic issues in Indonesia and ASEAN countries, written by authors from diverse backgrounds |
Beschreibung: | Description based on publisher supplied metadata and other sources |
Beschreibung: | 1 Online-Ressource (207 Seiten) |
ISBN: | 9781837970445 |
Internformat
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264 | 4 | |c ©2024 | |
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336 | |b txt |2 rdacontent | ||
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338 | |b cr |2 rdacarrier | ||
490 | 0 | |a International Symposia in Economic Theory and Econometrics Series |v v.33, Part A | |
500 | |a Description based on publisher supplied metadata and other sources | ||
505 | 8 | |a Intro -- Half Title Page -- Series Page -- Title Page -- Copyright Page -- Contents -- List of Figures and Tables -- About the Editors -- About the Contributors -- Preface -- Chapter 1: Business-Specific Risks and Stock Market Volatility as Indonesian Macroeconomic Risk Estimators -- 1. Introduction -- 2. Literature Review -- 2.2. Macroeconomic Risk -- 2.3. Cross-sectional Risk -- 3. Research Methodology -- 3.1. Term Spread (TERM) -- 3.2. Financial Friction -- 3.3. Cash Flow -- 3.4. Debt-Service Ratio -- 3.5. Stock Market Volatility (VOL) -- 3.6. Research Model -- 4. Result and Discussion -- 4.2. Main Regression Results -- 4.3. Robustness Test Regression Results -- 3. Conclusion -- References -- Chapter 2: The Impact of Financial Literacy on Sustainability of Small Businesses: Government Policy Perspective -- 1. Introduction -- 2. Literature Review and Hypothesis Development -- 2.2. Financial Literacy -- 2.3. SMEs Sustainability -- 2.4. Government Policy, Financial Literacy, and SME Sustainability -- 3. Methodology -- 3.2. Population and Research Samples -- 3.3. Research Variables -- 4. Empirical Result -- 4.2. Model Evaluation: Structural Model Results -- 4.3. Hypothesis Test -- Hypothesis 1 -- Hypothesis 2 -- 4.4. Discussion -- 4.5. Implications -- 4.6. Limitations and Future Research Direction -- 5. Conclusion -- References -- Chapter 3: Real Earnings Management in Family Firms in Indonesia -- 1. Introduction -- 2. Methodology -- 2.2. Dependent Variable -- 2.3. Independent Variable -- 2.4. Econometrics Model -- 3. Result -- 3.2. Regression Results -- 3.3. Regression Result from Control Variables -- 4. Conclusion -- References -- Chapter 4: How Bank Market Power and Diversification Affect Bank Stability? Evidence From Indonesia -- 1. Introduction -- 2. Literature Review -- 3. Methodology | |
505 | 8 | |a 3.2. Research Design, Models, and Variable Construction -- 3.3. Dependent Variables -- 3.4. Explanatory Variables -- 4. Results and Discussion -- 4.2. Correlation Analysis -- 4.3. Discussion -- 4.4. Robustness Check: Dependent Variable Alternative Measurement -- 5. Conclusion -- 6. Implication -- References -- Chapter 5: Chasing Daily Return of Socially Responsible Portfolio: Evidence from Indonesian Stock Exchange -- 1. Introduction -- 2. Literature Review -- 3. Research Methodology -- 3.1. Generating Matched Portfolio -- 3.2. Asset Pricing Model -- Estimation Method -- Fama-MacBeth Regression -- 4. Results and Discussion -- 5. Conclusion -- References -- Chapter 6: Systemic Risk: The Impact of COVID-19 on The Dual Banking System in Indonesia -- 1. Introduction -- 2. Methodology -- 2.2. Model Development -- 2.3. Methods -- 3. Result and Analysis -- 3.2. Analysis -- 4. Conclusion and Recommendation -- 4.2. Recommendation -- References -- Chapter 7: Assessing The Impact of The Lockdown in Jakarta on The Economy: An Input-Output Approach -- 1. Introduction -- 2. Literature Review -- 2.1. Basic IO Framework -- 2.2. IO Framework Assumptions -- 2.3. Designing the Economic Sector Shocks in Jakarta in PSBB in 2020 -- 3. Empirical Result -- 4. Conclusion -- References -- Chapter 8: The Implementation of Financial Inclusion for Indonesian Migrant Workers Post-placement (Best Practice of Permanent Income Life Cycle Hypothesis) -- 1. Introduction -- 2. Literature Review -- 2.1. Consumption Based on the Permanent Income Hypothesis -- 2.2. Consumption Based on the Life Cycle Hypothesis -- 2.3. Consumption Based on the LC-PIH -- 3. Materials and Methods -- 4. Results and Discussion -- 4.1. Saving as Dependent Variable -- Note: -- 4.2. Remittance as Dependent Variable -- 4.3. Stakeholder Analysis -- 5. Conclusion -- References | |
505 | 8 | |a Chapter 9: Profitability and Firm Value: The Role of Industry Competition, Market Value of Equity, and Debt Levels -- 1. Introduction -- 2. Literature Review and Hypothesis Development -- 3. Method -- 3.2. Variables -- 3.3. Statistical Models -- 4. Results and Discussion -- 4.2. Regression Results and Discussion -- 4.3. Additional Analysis -- 5. Conclusion -- References -- Chapter 10: The Effect of Moral Global Leadership Moderation on the Relationship between Achievement Motivation, Smart Work, and Performance -- 1. Introduction -- 2. Theory and Conceptual Model -- 2.2. SW and HR Performance -- 2.3. The Moderating Role of MGL -- 3. Methodology -- 3.2. Variable Measurement -- 4. Analysis and Results -- 4.1. Measurement/Outer Model -- 4.2. Structural/Inner Models -- 4.3. Hypothesis Testing -- 5. Discussion and Conclusion -- References -- Chapter 11: Testing The Discriminant Validity and Heterotrait-Monotrait Ratio of Correlation (HTMT): A Case in Indonesian SMEs -- 1. Introduction -- 2. Research Background -- 3. Testing Discriminant Validity and HTMT Ratio of Correlation -- 3.1. Fornell and Larcker's Criterion -- 3.2. Cross-loadings Criterion -- 3.3. Heterotrait-Monotrait Ratio of Correlation -- 4. Findings and Discussion -- 5. Conclusion -- References -- Chapter 12: Generalist CEO and Firm Performance: Evidence from Indonesia -- 1. Introduction -- 2. Literature Review and Hypothesis Development -- 2.2. Company Performance -- 2.3. CEO Tenure -- 2.4. Hypothesis Formulation: Generalist CEOs and Company Performance -- 2.5. Hypothesis Formulation: CEO Tenure, Generalist CEOs, and Company Performance -- 3. Methodology -- 3.2. Economic Strategies -- 4. Result -- 5. Conclusion -- References -- Index | |
520 | |a Emerging markets offer a unique financial setting, contrasting with developed markets. ISETE-33gives fresh insight into financial and economic issues in Indonesia and ASEAN countries, written by authors from diverse backgrounds | ||
650 | 4 | |a Economic development | |
700 | 1 | |a Sergi, Bruno S. |e Sonstige |4 oth | |
776 | 0 | 8 | |i Erscheint auch als |n Druck-Ausgabe |a Barnett, William A. |t Macroeconomic Risk and Growth in the Southeast Asian Countries |d Bingley : Emerald Publishing Limited,c2023 |z 9781837970438 |
912 | |a ZDB-30-PQE | ||
943 | 1 | |a oai:aleph.bib-bvb.de:BVB01-035214163 | |
966 | e | |u https://ebookcentral.proquest.com/lib/hwr/detail.action?docID=30577979 |l DE-2070s |p ZDB-30-PQE |q HWR_PDA_PQE |x Aggregator |3 Volltext |
Datensatz im Suchindex
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adam_text | |
any_adam_object | |
author | Barnett, William A. |
author_facet | Barnett, William A. |
author_role | aut |
author_sort | Barnett, William A. |
author_variant | w a b wa wab |
building | Verbundindex |
bvnumber | BV049874705 |
collection | ZDB-30-PQE |
contents | Intro -- Half Title Page -- Series Page -- Title Page -- Copyright Page -- Contents -- List of Figures and Tables -- About the Editors -- About the Contributors -- Preface -- Chapter 1: Business-Specific Risks and Stock Market Volatility as Indonesian Macroeconomic Risk Estimators -- 1. Introduction -- 2. Literature Review -- 2.2. Macroeconomic Risk -- 2.3. Cross-sectional Risk -- 3. Research Methodology -- 3.1. Term Spread (TERM) -- 3.2. Financial Friction -- 3.3. Cash Flow -- 3.4. Debt-Service Ratio -- 3.5. Stock Market Volatility (VOL) -- 3.6. Research Model -- 4. Result and Discussion -- 4.2. Main Regression Results -- 4.3. Robustness Test Regression Results -- 3. Conclusion -- References -- Chapter 2: The Impact of Financial Literacy on Sustainability of Small Businesses: Government Policy Perspective -- 1. Introduction -- 2. Literature Review and Hypothesis Development -- 2.2. Financial Literacy -- 2.3. SMEs Sustainability -- 2.4. Government Policy, Financial Literacy, and SME Sustainability -- 3. Methodology -- 3.2. Population and Research Samples -- 3.3. Research Variables -- 4. Empirical Result -- 4.2. Model Evaluation: Structural Model Results -- 4.3. Hypothesis Test -- Hypothesis 1 -- Hypothesis 2 -- 4.4. Discussion -- 4.5. Implications -- 4.6. Limitations and Future Research Direction -- 5. Conclusion -- References -- Chapter 3: Real Earnings Management in Family Firms in Indonesia -- 1. Introduction -- 2. Methodology -- 2.2. Dependent Variable -- 2.3. Independent Variable -- 2.4. Econometrics Model -- 3. Result -- 3.2. Regression Results -- 3.3. Regression Result from Control Variables -- 4. Conclusion -- References -- Chapter 4: How Bank Market Power and Diversification Affect Bank Stability? Evidence From Indonesia -- 1. Introduction -- 2. Literature Review -- 3. Methodology 3.2. Research Design, Models, and Variable Construction -- 3.3. Dependent Variables -- 3.4. Explanatory Variables -- 4. Results and Discussion -- 4.2. Correlation Analysis -- 4.3. Discussion -- 4.4. Robustness Check: Dependent Variable Alternative Measurement -- 5. Conclusion -- 6. Implication -- References -- Chapter 5: Chasing Daily Return of Socially Responsible Portfolio: Evidence from Indonesian Stock Exchange -- 1. Introduction -- 2. Literature Review -- 3. Research Methodology -- 3.1. Generating Matched Portfolio -- 3.2. Asset Pricing Model -- Estimation Method -- Fama-MacBeth Regression -- 4. Results and Discussion -- 5. Conclusion -- References -- Chapter 6: Systemic Risk: The Impact of COVID-19 on The Dual Banking System in Indonesia -- 1. Introduction -- 2. Methodology -- 2.2. Model Development -- 2.3. Methods -- 3. Result and Analysis -- 3.2. Analysis -- 4. Conclusion and Recommendation -- 4.2. Recommendation -- References -- Chapter 7: Assessing The Impact of The Lockdown in Jakarta on The Economy: An Input-Output Approach -- 1. Introduction -- 2. Literature Review -- 2.1. Basic IO Framework -- 2.2. IO Framework Assumptions -- 2.3. Designing the Economic Sector Shocks in Jakarta in PSBB in 2020 -- 3. Empirical Result -- 4. Conclusion -- References -- Chapter 8: The Implementation of Financial Inclusion for Indonesian Migrant Workers Post-placement (Best Practice of Permanent Income Life Cycle Hypothesis) -- 1. Introduction -- 2. Literature Review -- 2.1. Consumption Based on the Permanent Income Hypothesis -- 2.2. Consumption Based on the Life Cycle Hypothesis -- 2.3. Consumption Based on the LC-PIH -- 3. Materials and Methods -- 4. Results and Discussion -- 4.1. Saving as Dependent Variable -- Note: -- 4.2. Remittance as Dependent Variable -- 4.3. Stakeholder Analysis -- 5. Conclusion -- References Chapter 9: Profitability and Firm Value: The Role of Industry Competition, Market Value of Equity, and Debt Levels -- 1. Introduction -- 2. Literature Review and Hypothesis Development -- 3. Method -- 3.2. Variables -- 3.3. Statistical Models -- 4. Results and Discussion -- 4.2. Regression Results and Discussion -- 4.3. Additional Analysis -- 5. Conclusion -- References -- Chapter 10: The Effect of Moral Global Leadership Moderation on the Relationship between Achievement Motivation, Smart Work, and Performance -- 1. Introduction -- 2. Theory and Conceptual Model -- 2.2. SW and HR Performance -- 2.3. The Moderating Role of MGL -- 3. Methodology -- 3.2. Variable Measurement -- 4. Analysis and Results -- 4.1. Measurement/Outer Model -- 4.2. Structural/Inner Models -- 4.3. Hypothesis Testing -- 5. Discussion and Conclusion -- References -- Chapter 11: Testing The Discriminant Validity and Heterotrait-Monotrait Ratio of Correlation (HTMT): A Case in Indonesian SMEs -- 1. Introduction -- 2. Research Background -- 3. Testing Discriminant Validity and HTMT Ratio of Correlation -- 3.1. Fornell and Larcker's Criterion -- 3.2. Cross-loadings Criterion -- 3.3. Heterotrait-Monotrait Ratio of Correlation -- 4. Findings and Discussion -- 5. Conclusion -- References -- Chapter 12: Generalist CEO and Firm Performance: Evidence from Indonesia -- 1. Introduction -- 2. Literature Review and Hypothesis Development -- 2.2. Company Performance -- 2.3. CEO Tenure -- 2.4. Hypothesis Formulation: Generalist CEOs and Company Performance -- 2.5. Hypothesis Formulation: CEO Tenure, Generalist CEOs, and Company Performance -- 3. Methodology -- 3.2. Economic Strategies -- 4. Result -- 5. Conclusion -- References -- Index |
ctrlnum | (ZDB-30-PQE)EBC30577979 (ZDB-30-PAD)EBC30577979 (ZDB-89-EBL)EBL30577979 (OCoLC)1407283951 (DE-599)BVBBV049874705 |
dewey-full | 330 |
dewey-hundreds | 300 - Social sciences |
dewey-ones | 330 - Economics |
dewey-raw | 330 |
dewey-search | 330 |
dewey-sort | 3330 |
dewey-tens | 330 - Economics |
discipline | Wirtschaftswissenschaften |
edition | 1st ed |
format | Electronic eBook |
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id | DE-604.BV049874705 |
illustrated | Not Illustrated |
indexdate | 2024-09-19T05:22:07Z |
institution | BVB |
isbn | 9781837970445 |
language | English |
oai_aleph_id | oai:aleph.bib-bvb.de:BVB01-035214163 |
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physical | 1 Online-Ressource (207 Seiten) |
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publisher | Emerald Publishing Limited |
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series2 | International Symposia in Economic Theory and Econometrics Series |
spelling | Barnett, William A. Verfasser aut Macroeconomic Risk and Growth in the Southeast Asian Countries Insight from Indonesia 1st ed Bingley Emerald Publishing Limited 2023 ©2024 1 Online-Ressource (207 Seiten) txt rdacontent c rdamedia cr rdacarrier International Symposia in Economic Theory and Econometrics Series v.33, Part A Description based on publisher supplied metadata and other sources Intro -- Half Title Page -- Series Page -- Title Page -- Copyright Page -- Contents -- List of Figures and Tables -- About the Editors -- About the Contributors -- Preface -- Chapter 1: Business-Specific Risks and Stock Market Volatility as Indonesian Macroeconomic Risk Estimators -- 1. Introduction -- 2. Literature Review -- 2.2. Macroeconomic Risk -- 2.3. Cross-sectional Risk -- 3. Research Methodology -- 3.1. Term Spread (TERM) -- 3.2. Financial Friction -- 3.3. Cash Flow -- 3.4. Debt-Service Ratio -- 3.5. Stock Market Volatility (VOL) -- 3.6. Research Model -- 4. Result and Discussion -- 4.2. Main Regression Results -- 4.3. Robustness Test Regression Results -- 3. Conclusion -- References -- Chapter 2: The Impact of Financial Literacy on Sustainability of Small Businesses: Government Policy Perspective -- 1. Introduction -- 2. Literature Review and Hypothesis Development -- 2.2. Financial Literacy -- 2.3. SMEs Sustainability -- 2.4. Government Policy, Financial Literacy, and SME Sustainability -- 3. Methodology -- 3.2. Population and Research Samples -- 3.3. Research Variables -- 4. Empirical Result -- 4.2. Model Evaluation: Structural Model Results -- 4.3. Hypothesis Test -- Hypothesis 1 -- Hypothesis 2 -- 4.4. Discussion -- 4.5. Implications -- 4.6. Limitations and Future Research Direction -- 5. Conclusion -- References -- Chapter 3: Real Earnings Management in Family Firms in Indonesia -- 1. Introduction -- 2. Methodology -- 2.2. Dependent Variable -- 2.3. Independent Variable -- 2.4. Econometrics Model -- 3. Result -- 3.2. Regression Results -- 3.3. Regression Result from Control Variables -- 4. Conclusion -- References -- Chapter 4: How Bank Market Power and Diversification Affect Bank Stability? Evidence From Indonesia -- 1. Introduction -- 2. Literature Review -- 3. Methodology 3.2. Research Design, Models, and Variable Construction -- 3.3. Dependent Variables -- 3.4. Explanatory Variables -- 4. Results and Discussion -- 4.2. Correlation Analysis -- 4.3. Discussion -- 4.4. Robustness Check: Dependent Variable Alternative Measurement -- 5. Conclusion -- 6. Implication -- References -- Chapter 5: Chasing Daily Return of Socially Responsible Portfolio: Evidence from Indonesian Stock Exchange -- 1. Introduction -- 2. Literature Review -- 3. Research Methodology -- 3.1. Generating Matched Portfolio -- 3.2. Asset Pricing Model -- Estimation Method -- Fama-MacBeth Regression -- 4. Results and Discussion -- 5. Conclusion -- References -- Chapter 6: Systemic Risk: The Impact of COVID-19 on The Dual Banking System in Indonesia -- 1. Introduction -- 2. Methodology -- 2.2. Model Development -- 2.3. Methods -- 3. Result and Analysis -- 3.2. Analysis -- 4. Conclusion and Recommendation -- 4.2. Recommendation -- References -- Chapter 7: Assessing The Impact of The Lockdown in Jakarta on The Economy: An Input-Output Approach -- 1. Introduction -- 2. Literature Review -- 2.1. Basic IO Framework -- 2.2. IO Framework Assumptions -- 2.3. Designing the Economic Sector Shocks in Jakarta in PSBB in 2020 -- 3. Empirical Result -- 4. Conclusion -- References -- Chapter 8: The Implementation of Financial Inclusion for Indonesian Migrant Workers Post-placement (Best Practice of Permanent Income Life Cycle Hypothesis) -- 1. Introduction -- 2. Literature Review -- 2.1. Consumption Based on the Permanent Income Hypothesis -- 2.2. Consumption Based on the Life Cycle Hypothesis -- 2.3. Consumption Based on the LC-PIH -- 3. Materials and Methods -- 4. Results and Discussion -- 4.1. Saving as Dependent Variable -- Note: -- 4.2. Remittance as Dependent Variable -- 4.3. Stakeholder Analysis -- 5. Conclusion -- References Chapter 9: Profitability and Firm Value: The Role of Industry Competition, Market Value of Equity, and Debt Levels -- 1. Introduction -- 2. Literature Review and Hypothesis Development -- 3. Method -- 3.2. Variables -- 3.3. Statistical Models -- 4. Results and Discussion -- 4.2. Regression Results and Discussion -- 4.3. Additional Analysis -- 5. Conclusion -- References -- Chapter 10: The Effect of Moral Global Leadership Moderation on the Relationship between Achievement Motivation, Smart Work, and Performance -- 1. Introduction -- 2. Theory and Conceptual Model -- 2.2. SW and HR Performance -- 2.3. The Moderating Role of MGL -- 3. Methodology -- 3.2. Variable Measurement -- 4. Analysis and Results -- 4.1. Measurement/Outer Model -- 4.2. Structural/Inner Models -- 4.3. Hypothesis Testing -- 5. Discussion and Conclusion -- References -- Chapter 11: Testing The Discriminant Validity and Heterotrait-Monotrait Ratio of Correlation (HTMT): A Case in Indonesian SMEs -- 1. Introduction -- 2. Research Background -- 3. Testing Discriminant Validity and HTMT Ratio of Correlation -- 3.1. Fornell and Larcker's Criterion -- 3.2. Cross-loadings Criterion -- 3.3. Heterotrait-Monotrait Ratio of Correlation -- 4. Findings and Discussion -- 5. Conclusion -- References -- Chapter 12: Generalist CEO and Firm Performance: Evidence from Indonesia -- 1. Introduction -- 2. Literature Review and Hypothesis Development -- 2.2. Company Performance -- 2.3. CEO Tenure -- 2.4. Hypothesis Formulation: Generalist CEOs and Company Performance -- 2.5. Hypothesis Formulation: CEO Tenure, Generalist CEOs, and Company Performance -- 3. Methodology -- 3.2. Economic Strategies -- 4. Result -- 5. Conclusion -- References -- Index Emerging markets offer a unique financial setting, contrasting with developed markets. ISETE-33gives fresh insight into financial and economic issues in Indonesia and ASEAN countries, written by authors from diverse backgrounds Economic development Sergi, Bruno S. Sonstige oth Erscheint auch als Druck-Ausgabe Barnett, William A. Macroeconomic Risk and Growth in the Southeast Asian Countries Bingley : Emerald Publishing Limited,c2023 9781837970438 |
spellingShingle | Barnett, William A. Macroeconomic Risk and Growth in the Southeast Asian Countries Insight from Indonesia Intro -- Half Title Page -- Series Page -- Title Page -- Copyright Page -- Contents -- List of Figures and Tables -- About the Editors -- About the Contributors -- Preface -- Chapter 1: Business-Specific Risks and Stock Market Volatility as Indonesian Macroeconomic Risk Estimators -- 1. Introduction -- 2. Literature Review -- 2.2. Macroeconomic Risk -- 2.3. Cross-sectional Risk -- 3. Research Methodology -- 3.1. Term Spread (TERM) -- 3.2. Financial Friction -- 3.3. Cash Flow -- 3.4. Debt-Service Ratio -- 3.5. Stock Market Volatility (VOL) -- 3.6. Research Model -- 4. Result and Discussion -- 4.2. Main Regression Results -- 4.3. Robustness Test Regression Results -- 3. Conclusion -- References -- Chapter 2: The Impact of Financial Literacy on Sustainability of Small Businesses: Government Policy Perspective -- 1. Introduction -- 2. Literature Review and Hypothesis Development -- 2.2. Financial Literacy -- 2.3. SMEs Sustainability -- 2.4. Government Policy, Financial Literacy, and SME Sustainability -- 3. Methodology -- 3.2. Population and Research Samples -- 3.3. Research Variables -- 4. Empirical Result -- 4.2. Model Evaluation: Structural Model Results -- 4.3. Hypothesis Test -- Hypothesis 1 -- Hypothesis 2 -- 4.4. Discussion -- 4.5. Implications -- 4.6. Limitations and Future Research Direction -- 5. Conclusion -- References -- Chapter 3: Real Earnings Management in Family Firms in Indonesia -- 1. Introduction -- 2. Methodology -- 2.2. Dependent Variable -- 2.3. Independent Variable -- 2.4. Econometrics Model -- 3. Result -- 3.2. Regression Results -- 3.3. Regression Result from Control Variables -- 4. Conclusion -- References -- Chapter 4: How Bank Market Power and Diversification Affect Bank Stability? Evidence From Indonesia -- 1. Introduction -- 2. Literature Review -- 3. Methodology 3.2. Research Design, Models, and Variable Construction -- 3.3. Dependent Variables -- 3.4. Explanatory Variables -- 4. Results and Discussion -- 4.2. Correlation Analysis -- 4.3. Discussion -- 4.4. Robustness Check: Dependent Variable Alternative Measurement -- 5. Conclusion -- 6. Implication -- References -- Chapter 5: Chasing Daily Return of Socially Responsible Portfolio: Evidence from Indonesian Stock Exchange -- 1. Introduction -- 2. Literature Review -- 3. Research Methodology -- 3.1. Generating Matched Portfolio -- 3.2. Asset Pricing Model -- Estimation Method -- Fama-MacBeth Regression -- 4. Results and Discussion -- 5. Conclusion -- References -- Chapter 6: Systemic Risk: The Impact of COVID-19 on The Dual Banking System in Indonesia -- 1. Introduction -- 2. Methodology -- 2.2. Model Development -- 2.3. Methods -- 3. Result and Analysis -- 3.2. Analysis -- 4. Conclusion and Recommendation -- 4.2. Recommendation -- References -- Chapter 7: Assessing The Impact of The Lockdown in Jakarta on The Economy: An Input-Output Approach -- 1. Introduction -- 2. Literature Review -- 2.1. Basic IO Framework -- 2.2. IO Framework Assumptions -- 2.3. Designing the Economic Sector Shocks in Jakarta in PSBB in 2020 -- 3. Empirical Result -- 4. Conclusion -- References -- Chapter 8: The Implementation of Financial Inclusion for Indonesian Migrant Workers Post-placement (Best Practice of Permanent Income Life Cycle Hypothesis) -- 1. Introduction -- 2. Literature Review -- 2.1. Consumption Based on the Permanent Income Hypothesis -- 2.2. Consumption Based on the Life Cycle Hypothesis -- 2.3. Consumption Based on the LC-PIH -- 3. Materials and Methods -- 4. Results and Discussion -- 4.1. Saving as Dependent Variable -- Note: -- 4.2. Remittance as Dependent Variable -- 4.3. Stakeholder Analysis -- 5. Conclusion -- References Chapter 9: Profitability and Firm Value: The Role of Industry Competition, Market Value of Equity, and Debt Levels -- 1. Introduction -- 2. Literature Review and Hypothesis Development -- 3. Method -- 3.2. Variables -- 3.3. Statistical Models -- 4. Results and Discussion -- 4.2. Regression Results and Discussion -- 4.3. Additional Analysis -- 5. Conclusion -- References -- Chapter 10: The Effect of Moral Global Leadership Moderation on the Relationship between Achievement Motivation, Smart Work, and Performance -- 1. Introduction -- 2. Theory and Conceptual Model -- 2.2. SW and HR Performance -- 2.3. The Moderating Role of MGL -- 3. Methodology -- 3.2. Variable Measurement -- 4. Analysis and Results -- 4.1. Measurement/Outer Model -- 4.2. Structural/Inner Models -- 4.3. Hypothesis Testing -- 5. Discussion and Conclusion -- References -- Chapter 11: Testing The Discriminant Validity and Heterotrait-Monotrait Ratio of Correlation (HTMT): A Case in Indonesian SMEs -- 1. Introduction -- 2. Research Background -- 3. Testing Discriminant Validity and HTMT Ratio of Correlation -- 3.1. Fornell and Larcker's Criterion -- 3.2. Cross-loadings Criterion -- 3.3. Heterotrait-Monotrait Ratio of Correlation -- 4. Findings and Discussion -- 5. Conclusion -- References -- Chapter 12: Generalist CEO and Firm Performance: Evidence from Indonesia -- 1. Introduction -- 2. Literature Review and Hypothesis Development -- 2.2. Company Performance -- 2.3. CEO Tenure -- 2.4. Hypothesis Formulation: Generalist CEOs and Company Performance -- 2.5. Hypothesis Formulation: CEO Tenure, Generalist CEOs, and Company Performance -- 3. Methodology -- 3.2. Economic Strategies -- 4. Result -- 5. Conclusion -- References -- Index Economic development |
title | Macroeconomic Risk and Growth in the Southeast Asian Countries Insight from Indonesia |
title_auth | Macroeconomic Risk and Growth in the Southeast Asian Countries Insight from Indonesia |
title_exact_search | Macroeconomic Risk and Growth in the Southeast Asian Countries Insight from Indonesia |
title_full | Macroeconomic Risk and Growth in the Southeast Asian Countries Insight from Indonesia |
title_fullStr | Macroeconomic Risk and Growth in the Southeast Asian Countries Insight from Indonesia |
title_full_unstemmed | Macroeconomic Risk and Growth in the Southeast Asian Countries Insight from Indonesia |
title_short | Macroeconomic Risk and Growth in the Southeast Asian Countries |
title_sort | macroeconomic risk and growth in the southeast asian countries insight from indonesia |
title_sub | Insight from Indonesia |
topic | Economic development |
topic_facet | Economic development |
work_keys_str_mv | AT barnettwilliama macroeconomicriskandgrowthinthesoutheastasiancountriesinsightfromindonesia AT sergibrunos macroeconomicriskandgrowthinthesoutheastasiancountriesinsightfromindonesia |