Macroeconomic Risk and Growth in the Southeast Asian Countries: Insight from SEA.
ASEAN economies have much insight to offer the world, from investor behaviour during COVID-19, and deep-rooted attitudes towards risk and corruption, to achievement of the Sustainable Development Goals through the gender perspective
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 B |
Schlagworte: | |
Online-Zugang: | DE-2070s |
Zusammenfassung: | ASEAN economies have much insight to offer the world, from investor behaviour during COVID-19, and deep-rooted attitudes towards risk and corruption, to achievement of the Sustainable Development Goals through the gender perspective |
Beschreibung: | Description based on publisher supplied metadata and other sources |
Beschreibung: | 1 Online-Ressource (193 Seiten) |
ISBN: | 9781837972869 |
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245 | 1 | 0 | |a Macroeconomic Risk and Growth in the Southeast Asian Countries |b Insight from SEA. |
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264 | 4 | |c ©2024 | |
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490 | 0 | |a International Symposia in Economic Theory and Econometrics Series |v v.33, Part B | |
500 | |a Description based on publisher supplied metadata and other sources | ||
505 | 8 | |a Intro -- Halftittle Page -- Series Page -- Title Page -- Copyright Page -- Contents -- About the Contributors -- Preface -- Chapter 1: A Bibliometric Analysis on Risk Reporting: A Systematic Literature Review -- 1. Introduction -- 1.1 Problem Formulation -- 2. Risk Reporting Definition -- 2.1 Concept of Risk -- 2.2 Risk Reporting -- 3. Methodology -- 3.1 Defining Search Keywords -- 3.2 Initial Search Results -- 3.3 Results After Search Refinement -- 3.4 Compiling Preliminary Data -- 3.5 Data Analysis -- 4. Results and Discussion -- 5. Conclusion -- References -- Chapter 2: Financial Performance and Corporate Governance: Its Effect on Market Performance -- 1. Introduction -- 2. Literature Review -- 2.1 Financial Performance -- 2.2 Corporate Governance -- 2.3 Market Performance -- 3. Hypothesis and Research Method -- 3.1 Current Ratio, Quick Ratio, and Stock Return -- 3.2 Debt to Equity Ratio, Debt to Asset Ratio, and Stock Return -- 3.3 Board Size, Independent Board of Commissioners, and Stock Return -- 4. Research Method -- 5. Result and Discussion -- 5.1 Descriptive Statistics Analysis -- 5.2 Regression Results -- 5.3 The Effect of CR on SR -- 5.4 The Effect of QR on SR -- 5.5 The Effect of DER on SR -- 5.6 The Effect of DAR on SR -- 5.7 The Effect of BS on SR -- 5.8 The Effect of BOC on SR -- 5.9 The Effect of Free Cash Flow, Firm Size, Firm Growth, and Firm Age on SR -- 5.10 Robustness Testing -- 6. Discussion -- 7. Conclusion -- 8. Limitations and Future Research Directions -- References -- Chapter 3: Disruptive Innovation Disclosure Practices and Application of Stakeholder Theory -- 1. Introduction -- 2. Literature Review, Theories, and Hypotheses -- 2.1. Literature Review -- 2.2 Stakeholder Concept -- 2.3 Shareholders -- 2.4 Employees -- 2.5 Customer -- 2.6 Supplier -- 3. Research Methods -- 3.1. Data -- 3.2 Variable Measurement | |
505 | 8 | |a 3.3 Dependent Variable -- 3.4 Independent Variable -- 3.4 Control variable -- 4. Result and Discussion -- 5. Conclusion -- References -- Chapter 4: The Prospect and Volatility of Stock Prices in Aviation Business -- 1. Introduction -- 2. Research Method and Design -- 3. Result and Implications -- 3.1 ARIMA Procedure -- 3.2 Forecasting the Future of Airline Companies -- 3.3 Aviation Business Strategic Preparation -- 4. Conclusion -- References -- Chapter 5: Financial Performance and Ownership Structure: Influence on Firm Value Through Leverage -- 1. Introduction -- 2. Literature Review and Hypothesis -- 2.1 Literature Review of Firm Value -- 2.2 Fundamental Performance of the Company -- 2.3 Leverage (Optimum Capital Structure) -- 2.4 Good Corporate Governance and Firm Value -- 3. Methodology -- 4. Result and Discussion -- 4.1 Descriptive statistics -- 4.2 Result -- 4.3 Path Analysis -- 5. Conclusion -- References -- Chapter 6: Achievement of Sustainable Development Goals in Gender Mainstreaming Through the Gender and Development Perspective -- 1. Introduction -- 2. Materials and Methods -- 3. Result and Discussion -- 4. Conclusion -- References -- Chapter 7: Institutional Ownership, Dividend Policy, Debt Policy, and Risk: An Analysis of Simultaneous Equation -- 1. Introduction -- 2. The Theory and Hypothesis Development -- 2.1 The Interdependency of Institutional Ownership, Debt Policy, Dividend Policy, and the Risk -- 3. Research Method -- 3.1. Data and Sample -- 3.2. The Research Variables -- 4. Results and Discussion -- 4.1. The Hypothesis Discussion of Institutional Ownership and Dividend Policy -- 4.2. The Discussion of Institutional Ownership and Debt Policy Hypothesis -- 4.3 The Discussion of Debt Policy and Dividend Policy Hypothesis -- 4.4 The Discussion of Institutional and Risk Hypothesis | |
505 | 8 | |a 4.5 The Discussion of Debt Policy and Risk Hypothesis -- 4.6 The Discussion of Dividend and Risk Hypothesis -- 4.7 The Discussion of Exogenous Variable Test Result -- 5. Conclusion -- References -- Chapter 8: Investor Behaviour During COVID-19 Pandemic: Do They Herding? -- 1. Introduction -- 2. Literature Review -- 2.1 The COVID-19 Outbreak and Its Impact -- 2.2 COVID-19 and Investor Behaviour -- 2.3 Herding -- 3. Research Method -- 4. Result -- 5. Conclusion and Suggestions -- References -- Chapter 9: CO2 Emissions, Population, Tourism, Oil Consumption, and Corruption: Evidence from ASEAN 5 Developing Countries -- 1. Introduction -- 2. Literature Review, Research Framework, and Hypothesis -- 2.1 Literature Review -- 2.2 Research Framework -- 2.3 Hypothesis -- 3. Research Methodology -- 3.1 Fixed-Effect -- 3.2 Random-Effect -- 3.3 Classical Assumption Test -- 4. Results and Discussion -- 4.2 Hausman Test -- 4.3 Multicollinearity Test -- 4.4 Heteroscedasticity -- 5. Conclusion -- References -- Chapter 10: Capital, Liquidity, Profitability, and Credit Risk Nexus: A Panel VAR Study on Selected Developing Countries -- 1. Introduction -- 2. Literature Review -- 3. Data and Methodology -- 4. Result and Discussion -- 4.1 Descriptive Statistics and Correlation -- 4.2. PVAR Estimation -- 4.3 Diagnostic Check -- 4.4 Impulse Response and Forecast Error Variance Decomposition -- 4.5 Robustness Check -- 5. Conclusion -- References -- Chapter 11: VaR Model for Managing Market Risk of Portfolio -- 1. Introduction -- 2. Methodology -- 3. Research Methodology -- 3.1 Simulation Step -- 3.2 Research Result -- 3.2.1 Probability Default -- 3.2.2 Asset Correlation Matrix -- 3.2.3 The Histogram of Loss Distribution -- 4. Conclusion -- References -- Index | |
520 | |a ASEAN economies have much insight to offer the world, from investor behaviour during COVID-19, and deep-rooted attitudes towards risk and corruption, to achievement of the Sustainable Development Goals through the gender perspective | ||
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 9781837972852 |
912 | |a ZDB-30-PQE | ||
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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 | BV049874717 |
collection | ZDB-30-PQE |
contents | Intro -- Halftittle Page -- Series Page -- Title Page -- Copyright Page -- Contents -- About the Contributors -- Preface -- Chapter 1: A Bibliometric Analysis on Risk Reporting: A Systematic Literature Review -- 1. Introduction -- 1.1 Problem Formulation -- 2. Risk Reporting Definition -- 2.1 Concept of Risk -- 2.2 Risk Reporting -- 3. Methodology -- 3.1 Defining Search Keywords -- 3.2 Initial Search Results -- 3.3 Results After Search Refinement -- 3.4 Compiling Preliminary Data -- 3.5 Data Analysis -- 4. Results and Discussion -- 5. Conclusion -- References -- Chapter 2: Financial Performance and Corporate Governance: Its Effect on Market Performance -- 1. Introduction -- 2. Literature Review -- 2.1 Financial Performance -- 2.2 Corporate Governance -- 2.3 Market Performance -- 3. Hypothesis and Research Method -- 3.1 Current Ratio, Quick Ratio, and Stock Return -- 3.2 Debt to Equity Ratio, Debt to Asset Ratio, and Stock Return -- 3.3 Board Size, Independent Board of Commissioners, and Stock Return -- 4. Research Method -- 5. Result and Discussion -- 5.1 Descriptive Statistics Analysis -- 5.2 Regression Results -- 5.3 The Effect of CR on SR -- 5.4 The Effect of QR on SR -- 5.5 The Effect of DER on SR -- 5.6 The Effect of DAR on SR -- 5.7 The Effect of BS on SR -- 5.8 The Effect of BOC on SR -- 5.9 The Effect of Free Cash Flow, Firm Size, Firm Growth, and Firm Age on SR -- 5.10 Robustness Testing -- 6. Discussion -- 7. Conclusion -- 8. Limitations and Future Research Directions -- References -- Chapter 3: Disruptive Innovation Disclosure Practices and Application of Stakeholder Theory -- 1. Introduction -- 2. Literature Review, Theories, and Hypotheses -- 2.1. Literature Review -- 2.2 Stakeholder Concept -- 2.3 Shareholders -- 2.4 Employees -- 2.5 Customer -- 2.6 Supplier -- 3. Research Methods -- 3.1. Data -- 3.2 Variable Measurement 3.3 Dependent Variable -- 3.4 Independent Variable -- 3.4 Control variable -- 4. Result and Discussion -- 5. Conclusion -- References -- Chapter 4: The Prospect and Volatility of Stock Prices in Aviation Business -- 1. Introduction -- 2. Research Method and Design -- 3. Result and Implications -- 3.1 ARIMA Procedure -- 3.2 Forecasting the Future of Airline Companies -- 3.3 Aviation Business Strategic Preparation -- 4. Conclusion -- References -- Chapter 5: Financial Performance and Ownership Structure: Influence on Firm Value Through Leverage -- 1. Introduction -- 2. Literature Review and Hypothesis -- 2.1 Literature Review of Firm Value -- 2.2 Fundamental Performance of the Company -- 2.3 Leverage (Optimum Capital Structure) -- 2.4 Good Corporate Governance and Firm Value -- 3. Methodology -- 4. Result and Discussion -- 4.1 Descriptive statistics -- 4.2 Result -- 4.3 Path Analysis -- 5. Conclusion -- References -- Chapter 6: Achievement of Sustainable Development Goals in Gender Mainstreaming Through the Gender and Development Perspective -- 1. Introduction -- 2. Materials and Methods -- 3. Result and Discussion -- 4. Conclusion -- References -- Chapter 7: Institutional Ownership, Dividend Policy, Debt Policy, and Risk: An Analysis of Simultaneous Equation -- 1. Introduction -- 2. The Theory and Hypothesis Development -- 2.1 The Interdependency of Institutional Ownership, Debt Policy, Dividend Policy, and the Risk -- 3. Research Method -- 3.1. Data and Sample -- 3.2. The Research Variables -- 4. Results and Discussion -- 4.1. The Hypothesis Discussion of Institutional Ownership and Dividend Policy -- 4.2. The Discussion of Institutional Ownership and Debt Policy Hypothesis -- 4.3 The Discussion of Debt Policy and Dividend Policy Hypothesis -- 4.4 The Discussion of Institutional and Risk Hypothesis 4.5 The Discussion of Debt Policy and Risk Hypothesis -- 4.6 The Discussion of Dividend and Risk Hypothesis -- 4.7 The Discussion of Exogenous Variable Test Result -- 5. Conclusion -- References -- Chapter 8: Investor Behaviour During COVID-19 Pandemic: Do They Herding? -- 1. Introduction -- 2. Literature Review -- 2.1 The COVID-19 Outbreak and Its Impact -- 2.2 COVID-19 and Investor Behaviour -- 2.3 Herding -- 3. Research Method -- 4. Result -- 5. Conclusion and Suggestions -- References -- Chapter 9: CO2 Emissions, Population, Tourism, Oil Consumption, and Corruption: Evidence from ASEAN 5 Developing Countries -- 1. Introduction -- 2. Literature Review, Research Framework, and Hypothesis -- 2.1 Literature Review -- 2.2 Research Framework -- 2.3 Hypothesis -- 3. Research Methodology -- 3.1 Fixed-Effect -- 3.2 Random-Effect -- 3.3 Classical Assumption Test -- 4. Results and Discussion -- 4.2 Hausman Test -- 4.3 Multicollinearity Test -- 4.4 Heteroscedasticity -- 5. Conclusion -- References -- Chapter 10: Capital, Liquidity, Profitability, and Credit Risk Nexus: A Panel VAR Study on Selected Developing Countries -- 1. Introduction -- 2. Literature Review -- 3. Data and Methodology -- 4. Result and Discussion -- 4.1 Descriptive Statistics and Correlation -- 4.2. PVAR Estimation -- 4.3 Diagnostic Check -- 4.4 Impulse Response and Forecast Error Variance Decomposition -- 4.5 Robustness Check -- 5. Conclusion -- References -- Chapter 11: VaR Model for Managing Market Risk of Portfolio -- 1. Introduction -- 2. Methodology -- 3. Research Methodology -- 3.1 Simulation Step -- 3.2 Research Result -- 3.2.1 Probability Default -- 3.2.2 Asset Correlation Matrix -- 3.2.3 The Histogram of Loss Distribution -- 4. Conclusion -- References -- Index |
ctrlnum | (ZDB-30-PQE)EBC30578008 (ZDB-30-PAD)EBC30578008 (ZDB-89-EBL)EBL30578008 (OCoLC)1407283364 (DE-599)BVBBV049874717 |
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.BV049874717 |
illustrated | Not Illustrated |
indexdate | 2024-09-19T05:22:07Z |
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isbn | 9781837972869 |
language | English |
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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 SEA. 1st ed Bingley Emerald Publishing Limited 2023 ©2024 1 Online-Ressource (193 Seiten) txt rdacontent c rdamedia cr rdacarrier International Symposia in Economic Theory and Econometrics Series v.33, Part B Description based on publisher supplied metadata and other sources Intro -- Halftittle Page -- Series Page -- Title Page -- Copyright Page -- Contents -- About the Contributors -- Preface -- Chapter 1: A Bibliometric Analysis on Risk Reporting: A Systematic Literature Review -- 1. Introduction -- 1.1 Problem Formulation -- 2. Risk Reporting Definition -- 2.1 Concept of Risk -- 2.2 Risk Reporting -- 3. Methodology -- 3.1 Defining Search Keywords -- 3.2 Initial Search Results -- 3.3 Results After Search Refinement -- 3.4 Compiling Preliminary Data -- 3.5 Data Analysis -- 4. Results and Discussion -- 5. Conclusion -- References -- Chapter 2: Financial Performance and Corporate Governance: Its Effect on Market Performance -- 1. Introduction -- 2. Literature Review -- 2.1 Financial Performance -- 2.2 Corporate Governance -- 2.3 Market Performance -- 3. Hypothesis and Research Method -- 3.1 Current Ratio, Quick Ratio, and Stock Return -- 3.2 Debt to Equity Ratio, Debt to Asset Ratio, and Stock Return -- 3.3 Board Size, Independent Board of Commissioners, and Stock Return -- 4. Research Method -- 5. Result and Discussion -- 5.1 Descriptive Statistics Analysis -- 5.2 Regression Results -- 5.3 The Effect of CR on SR -- 5.4 The Effect of QR on SR -- 5.5 The Effect of DER on SR -- 5.6 The Effect of DAR on SR -- 5.7 The Effect of BS on SR -- 5.8 The Effect of BOC on SR -- 5.9 The Effect of Free Cash Flow, Firm Size, Firm Growth, and Firm Age on SR -- 5.10 Robustness Testing -- 6. Discussion -- 7. Conclusion -- 8. Limitations and Future Research Directions -- References -- Chapter 3: Disruptive Innovation Disclosure Practices and Application of Stakeholder Theory -- 1. Introduction -- 2. Literature Review, Theories, and Hypotheses -- 2.1. Literature Review -- 2.2 Stakeholder Concept -- 2.3 Shareholders -- 2.4 Employees -- 2.5 Customer -- 2.6 Supplier -- 3. Research Methods -- 3.1. Data -- 3.2 Variable Measurement 3.3 Dependent Variable -- 3.4 Independent Variable -- 3.4 Control variable -- 4. Result and Discussion -- 5. Conclusion -- References -- Chapter 4: The Prospect and Volatility of Stock Prices in Aviation Business -- 1. Introduction -- 2. Research Method and Design -- 3. Result and Implications -- 3.1 ARIMA Procedure -- 3.2 Forecasting the Future of Airline Companies -- 3.3 Aviation Business Strategic Preparation -- 4. Conclusion -- References -- Chapter 5: Financial Performance and Ownership Structure: Influence on Firm Value Through Leverage -- 1. Introduction -- 2. Literature Review and Hypothesis -- 2.1 Literature Review of Firm Value -- 2.2 Fundamental Performance of the Company -- 2.3 Leverage (Optimum Capital Structure) -- 2.4 Good Corporate Governance and Firm Value -- 3. Methodology -- 4. Result and Discussion -- 4.1 Descriptive statistics -- 4.2 Result -- 4.3 Path Analysis -- 5. Conclusion -- References -- Chapter 6: Achievement of Sustainable Development Goals in Gender Mainstreaming Through the Gender and Development Perspective -- 1. Introduction -- 2. Materials and Methods -- 3. Result and Discussion -- 4. Conclusion -- References -- Chapter 7: Institutional Ownership, Dividend Policy, Debt Policy, and Risk: An Analysis of Simultaneous Equation -- 1. Introduction -- 2. The Theory and Hypothesis Development -- 2.1 The Interdependency of Institutional Ownership, Debt Policy, Dividend Policy, and the Risk -- 3. Research Method -- 3.1. Data and Sample -- 3.2. The Research Variables -- 4. Results and Discussion -- 4.1. The Hypothesis Discussion of Institutional Ownership and Dividend Policy -- 4.2. The Discussion of Institutional Ownership and Debt Policy Hypothesis -- 4.3 The Discussion of Debt Policy and Dividend Policy Hypothesis -- 4.4 The Discussion of Institutional and Risk Hypothesis 4.5 The Discussion of Debt Policy and Risk Hypothesis -- 4.6 The Discussion of Dividend and Risk Hypothesis -- 4.7 The Discussion of Exogenous Variable Test Result -- 5. Conclusion -- References -- Chapter 8: Investor Behaviour During COVID-19 Pandemic: Do They Herding? -- 1. Introduction -- 2. Literature Review -- 2.1 The COVID-19 Outbreak and Its Impact -- 2.2 COVID-19 and Investor Behaviour -- 2.3 Herding -- 3. Research Method -- 4. Result -- 5. Conclusion and Suggestions -- References -- Chapter 9: CO2 Emissions, Population, Tourism, Oil Consumption, and Corruption: Evidence from ASEAN 5 Developing Countries -- 1. Introduction -- 2. Literature Review, Research Framework, and Hypothesis -- 2.1 Literature Review -- 2.2 Research Framework -- 2.3 Hypothesis -- 3. Research Methodology -- 3.1 Fixed-Effect -- 3.2 Random-Effect -- 3.3 Classical Assumption Test -- 4. Results and Discussion -- 4.2 Hausman Test -- 4.3 Multicollinearity Test -- 4.4 Heteroscedasticity -- 5. Conclusion -- References -- Chapter 10: Capital, Liquidity, Profitability, and Credit Risk Nexus: A Panel VAR Study on Selected Developing Countries -- 1. Introduction -- 2. Literature Review -- 3. Data and Methodology -- 4. Result and Discussion -- 4.1 Descriptive Statistics and Correlation -- 4.2. PVAR Estimation -- 4.3 Diagnostic Check -- 4.4 Impulse Response and Forecast Error Variance Decomposition -- 4.5 Robustness Check -- 5. Conclusion -- References -- Chapter 11: VaR Model for Managing Market Risk of Portfolio -- 1. Introduction -- 2. Methodology -- 3. Research Methodology -- 3.1 Simulation Step -- 3.2 Research Result -- 3.2.1 Probability Default -- 3.2.2 Asset Correlation Matrix -- 3.2.3 The Histogram of Loss Distribution -- 4. Conclusion -- References -- Index ASEAN economies have much insight to offer the world, from investor behaviour during COVID-19, and deep-rooted attitudes towards risk and corruption, to achievement of the Sustainable Development Goals through the gender perspective 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 9781837972852 |
spellingShingle | Barnett, William A. Macroeconomic Risk and Growth in the Southeast Asian Countries Insight from SEA. Intro -- Halftittle Page -- Series Page -- Title Page -- Copyright Page -- Contents -- About the Contributors -- Preface -- Chapter 1: A Bibliometric Analysis on Risk Reporting: A Systematic Literature Review -- 1. Introduction -- 1.1 Problem Formulation -- 2. Risk Reporting Definition -- 2.1 Concept of Risk -- 2.2 Risk Reporting -- 3. Methodology -- 3.1 Defining Search Keywords -- 3.2 Initial Search Results -- 3.3 Results After Search Refinement -- 3.4 Compiling Preliminary Data -- 3.5 Data Analysis -- 4. Results and Discussion -- 5. Conclusion -- References -- Chapter 2: Financial Performance and Corporate Governance: Its Effect on Market Performance -- 1. Introduction -- 2. Literature Review -- 2.1 Financial Performance -- 2.2 Corporate Governance -- 2.3 Market Performance -- 3. Hypothesis and Research Method -- 3.1 Current Ratio, Quick Ratio, and Stock Return -- 3.2 Debt to Equity Ratio, Debt to Asset Ratio, and Stock Return -- 3.3 Board Size, Independent Board of Commissioners, and Stock Return -- 4. Research Method -- 5. Result and Discussion -- 5.1 Descriptive Statistics Analysis -- 5.2 Regression Results -- 5.3 The Effect of CR on SR -- 5.4 The Effect of QR on SR -- 5.5 The Effect of DER on SR -- 5.6 The Effect of DAR on SR -- 5.7 The Effect of BS on SR -- 5.8 The Effect of BOC on SR -- 5.9 The Effect of Free Cash Flow, Firm Size, Firm Growth, and Firm Age on SR -- 5.10 Robustness Testing -- 6. Discussion -- 7. Conclusion -- 8. Limitations and Future Research Directions -- References -- Chapter 3: Disruptive Innovation Disclosure Practices and Application of Stakeholder Theory -- 1. Introduction -- 2. Literature Review, Theories, and Hypotheses -- 2.1. Literature Review -- 2.2 Stakeholder Concept -- 2.3 Shareholders -- 2.4 Employees -- 2.5 Customer -- 2.6 Supplier -- 3. Research Methods -- 3.1. Data -- 3.2 Variable Measurement 3.3 Dependent Variable -- 3.4 Independent Variable -- 3.4 Control variable -- 4. Result and Discussion -- 5. Conclusion -- References -- Chapter 4: The Prospect and Volatility of Stock Prices in Aviation Business -- 1. Introduction -- 2. Research Method and Design -- 3. Result and Implications -- 3.1 ARIMA Procedure -- 3.2 Forecasting the Future of Airline Companies -- 3.3 Aviation Business Strategic Preparation -- 4. Conclusion -- References -- Chapter 5: Financial Performance and Ownership Structure: Influence on Firm Value Through Leverage -- 1. Introduction -- 2. Literature Review and Hypothesis -- 2.1 Literature Review of Firm Value -- 2.2 Fundamental Performance of the Company -- 2.3 Leverage (Optimum Capital Structure) -- 2.4 Good Corporate Governance and Firm Value -- 3. Methodology -- 4. Result and Discussion -- 4.1 Descriptive statistics -- 4.2 Result -- 4.3 Path Analysis -- 5. Conclusion -- References -- Chapter 6: Achievement of Sustainable Development Goals in Gender Mainstreaming Through the Gender and Development Perspective -- 1. Introduction -- 2. Materials and Methods -- 3. Result and Discussion -- 4. Conclusion -- References -- Chapter 7: Institutional Ownership, Dividend Policy, Debt Policy, and Risk: An Analysis of Simultaneous Equation -- 1. Introduction -- 2. The Theory and Hypothesis Development -- 2.1 The Interdependency of Institutional Ownership, Debt Policy, Dividend Policy, and the Risk -- 3. Research Method -- 3.1. Data and Sample -- 3.2. The Research Variables -- 4. Results and Discussion -- 4.1. The Hypothesis Discussion of Institutional Ownership and Dividend Policy -- 4.2. The Discussion of Institutional Ownership and Debt Policy Hypothesis -- 4.3 The Discussion of Debt Policy and Dividend Policy Hypothesis -- 4.4 The Discussion of Institutional and Risk Hypothesis 4.5 The Discussion of Debt Policy and Risk Hypothesis -- 4.6 The Discussion of Dividend and Risk Hypothesis -- 4.7 The Discussion of Exogenous Variable Test Result -- 5. Conclusion -- References -- Chapter 8: Investor Behaviour During COVID-19 Pandemic: Do They Herding? -- 1. Introduction -- 2. Literature Review -- 2.1 The COVID-19 Outbreak and Its Impact -- 2.2 COVID-19 and Investor Behaviour -- 2.3 Herding -- 3. Research Method -- 4. Result -- 5. Conclusion and Suggestions -- References -- Chapter 9: CO2 Emissions, Population, Tourism, Oil Consumption, and Corruption: Evidence from ASEAN 5 Developing Countries -- 1. Introduction -- 2. Literature Review, Research Framework, and Hypothesis -- 2.1 Literature Review -- 2.2 Research Framework -- 2.3 Hypothesis -- 3. Research Methodology -- 3.1 Fixed-Effect -- 3.2 Random-Effect -- 3.3 Classical Assumption Test -- 4. Results and Discussion -- 4.2 Hausman Test -- 4.3 Multicollinearity Test -- 4.4 Heteroscedasticity -- 5. Conclusion -- References -- Chapter 10: Capital, Liquidity, Profitability, and Credit Risk Nexus: A Panel VAR Study on Selected Developing Countries -- 1. Introduction -- 2. Literature Review -- 3. Data and Methodology -- 4. Result and Discussion -- 4.1 Descriptive Statistics and Correlation -- 4.2. PVAR Estimation -- 4.3 Diagnostic Check -- 4.4 Impulse Response and Forecast Error Variance Decomposition -- 4.5 Robustness Check -- 5. Conclusion -- References -- Chapter 11: VaR Model for Managing Market Risk of Portfolio -- 1. Introduction -- 2. Methodology -- 3. Research Methodology -- 3.1 Simulation Step -- 3.2 Research Result -- 3.2.1 Probability Default -- 3.2.2 Asset Correlation Matrix -- 3.2.3 The Histogram of Loss Distribution -- 4. Conclusion -- References -- Index Economic development |
title | Macroeconomic Risk and Growth in the Southeast Asian Countries Insight from SEA. |
title_auth | Macroeconomic Risk and Growth in the Southeast Asian Countries Insight from SEA. |
title_exact_search | Macroeconomic Risk and Growth in the Southeast Asian Countries Insight from SEA. |
title_full | Macroeconomic Risk and Growth in the Southeast Asian Countries Insight from SEA. |
title_fullStr | Macroeconomic Risk and Growth in the Southeast Asian Countries Insight from SEA. |
title_full_unstemmed | Macroeconomic Risk and Growth in the Southeast Asian Countries Insight from SEA. |
title_short | Macroeconomic Risk and Growth in the Southeast Asian Countries |
title_sort | macroeconomic risk and growth in the southeast asian countries insight from sea |
title_sub | Insight from SEA. |
topic | Economic development |
topic_facet | Economic development |
work_keys_str_mv | AT barnettwilliama macroeconomicriskandgrowthinthesoutheastasiancountriesinsightfromsea AT sergibrunos macroeconomicriskandgrowthinthesoutheastasiancountriesinsightfromsea |