Content
Februari 2024, Volume 27, Issue Spesial Issue
- 1-1 Editorial: Syner orial: Synergy and inno gy and innovation in str ation in strengthening r engthening resilience and esilience and economic r economic revival The 17th BMEB International Conf al The 17th BMEB International Conference Special Issue
by Solikin M. Juhro & Paresh K. Narayan - 1-7 Synergy And Innovations In Strengthening Resilience And Economic Revival
by Perry Warjiyo - 7-44 Spillover Effects Of Capital Controls: A Critical Review And New Agenda For The Future Directions
by Biswajit Panigrahi & K.P. Prabheesh - 45-58 Impact Of Geopolitical Risk And Crude Oil Prices On Stock Return
by Chinmaya Behera & Biswashree Tanaya Priyadarsini & Debasis Patnaik - 59-74 Promoting Financial Inclusivity, A Route To Economic Growth: An Empirical Analysis From Sub-Saharan African Countries
by Sulayman Jallow & Pradipta Kumar Sahoo & Bamadev Mahapatra - 75-94 Cost Of Capital And Climate Risk In The Indonesian Bonds Market
by Maulana Harris Muhajir - 95-130 Reinvigorating Gva Nowcasting In The Postpandemic Period: A Case Study For India
by Kaustubh & Soumya Bhadury & Saurabh Ghosh - 131-154 Does Inflation Targeting Anchor Inflation Expectations In India? Evidence From Surveys Of Household And Professional Forecasters
by Irfan Ali K C - 155-170 Digitalization And Economies Of Oic Countries
by Mohsin Ali & Urooj Anwar & Mudeer Ahmed Khattak & Muhammad Umar Islam
July 2024, Volume 27, Issue 3
- 1-1 EDITORIAL (Domestic Policies (and Shocks), Macroeconomic Stability, and Economic Growth BMEB India Special Issue)
by Yoga Affandi & Solikin M. Juhro & Paresh Kumar Narayan - 397-434 Monetary Policy Impact On Stock Returns For Selected South Asian Countries
by Neluka Devpura & Paresh Kumar Narayan & Navin Perera - 435-458 Changing Contours Of Policy Communications In India
by Abhishek Ranjan & Siddhartha Nath - 459-482 Do Digital Payments Spur Gst Revenue: Indian Experience
by Surender Kumar - 483-526 Assessing And Mitigating The Impact Of Geopolitical Risk Uncertainty On The Indian Financial Sector: A Policy Perspective
by Satish Kumar & Amar Rao - 527-556 Indian Mutual Fund Industry: Is 2014 A Turning Point?
by Shobhit Goel & Pawan Kumar - 557-572 Impact Of Crises On Indian Financial Markets
by Pami Dua & Divya Tuteja - 573-600 India And The Rest Of The World: Analyses Of International Monetary Policy Spillovers
by Afees Adebare Salisu
May 2024, Volume 27, Issue 2
- 169-228 Capital Flow and Bank Lending Channels in a Small Open Economy: Evidence from Indonesia
by Advis Budiman & Solikin M. Juhro & Sugiharso Safuan - 229-240 Earthquakes and Housing Rental Prices in Urban Indonesia: A Hedonic Price Analysis
by Aloysius Gunadi Brata & Yenny Patnasari - 241-264 Central Bank Digital Curr al Bank Digital Currency, Monetar , Monetary Policy, and Macroeconomy : Centr oeconomy : Central Bank Digital Curr al Bank Digital Currency, Monetar , Monetary Policy, and Macroeconomy
by Syahid Izzulhaq & Akhmad Syakir Kurnia & Johan Beni Maharda - 265-298 Endogenous Uncertainty: Does Investment Inefficiency Contributes to Uncertainty?
by Rita Juliana & Irwan Adi Ekaputra & Zaäfri Ananto Husodo & Sung suk Kim - 299-326 Trade Uncer ade Uncertainty and Bank Cr tainty and Bank Credit Gr edit Growth: E owth: Evidence fr vidence from China om China and the European Union Countries
by Nazrul Hazizi Noordin & Mohamed Eskandar Shah Mohd. Rasid - 327-350 Risk, Capital, And Inefficiency: A Study of Public Sector, Private, and Foreign Banks in India
by Biswajit Patra & Puja Padhi - 351-394 Digital Currencies and Macroeconomic Performance: A Global Perspective
by Tirimisiyu F. Oloko & Ahamuefula E. Ogbonna & Idris A. Adediran
March 2024, Volume 27, Issue 1
- 1-24 Capital Expenditure Dynamics in ASEAN: Unveiling Determinants and The Impact of The COVID-19 Pandemic on Non-Financial Corporations
by Solikin M. Juhro & Dhaha Praviandi Kuantan & Charvin Lim - 25-82 Did COVID-19 Disrupt the Stock Market Return and Volatility? A Meta-Analytic Approach
by Masagus M. Ridhwan & Solikin M. Juhro & Affandi Ismail & Peter Nijkamp & Kelvin Ramadhan Hidayat - 83-98 The Impact of Fiscal Science and Technology Expenditure on Digital Economy: A New Path to Economic Recovery in The Post-Pandemic Era
by Yang Xu & Xiaodong Yang & Qiying Ran - 99-112 Does Infrastructure Investment Remain an Effective Expansionary Tool? Based On the Green Economy Growth Perspective
by Wenfeng Ge & Xiaodong Yang & Qiying Ran - 113-132 Whether The Cr Whether The Crypto Market Is Efficient? E et Is Efficient? Evidence F vidence From Testing The Validity Of The Efficient Market Hypothesis
by Rasim Özcan & Asad ul Islam KHAN & Sundas Iftikhar - 133-150 The Impact Of Covid-19 Pandemic On Carbon Emissions: Empirical Evidence From China
by Yanwei Lyu & You Wu & Wenqiang Wang & Jinning Zhang - 151-166 Will Green Finance Become a New Driving Force for Environmental Governance in The Post-Covid-19 Era: Evidence from China
by Siyu Ren & Mingyue Du
February 2023, Volume 26, Issue Special Issue
- 1-1 Synergy of Economic Policies and Innovation in Driving Momentum for Sustainable Global Economic Recovery in the Era of Digital Transformation
by Paresh Kumar Narayan & Solikin M. Juhro - 1-8 Synergy Of Economic Policies And Innovation In Driving Momentum For Sustainable Global Economic Recovery In The Era Of Digital Transformation
by Perry Warjiyo - 9-32 Crisis And Contagion In Cryptocurrency Market
by Bhavesh Garg & Karan Rai & Rishabh Pachoriya & Manik Thappa - 33-54 A Machine Learning Approach To Gdp Nowcasting: An Emerging Market Experience
by Saurabh Ghosh & Abhishek Ranjan - 55-76 Is The Automatic Stabilizer Policy Effective In Combating An Economic Recession? A Case Study Of The Indonesian State Budget
by Cucun Ahmad Syamsurijal & Yogi Suprayogi Sugandi & Asep Sumaryana & Slamet Usman Ismanto - 77-96 What Drives India’S Financial Integration?
by Rakesh Padhan & K.P. Prabheesh - 97-110 The Crude Oil Price–Stock Return Connectedness And The Impact Of The Russian-Ukraine War On Stock Returns In East Asian Countries
by Chinmaya Behera - 127-146 Credit Card Delinquency In Malaysia
by Wai Leng Chia & Roy W.L. Khong & Priscilla Lim & Patricia Mei Mei Ang
November 2023, Volume 26, Issue 4
- 563-570 How Effective Are Price Regulator’S Price Control Measures?
by Biman Prasad & Paresh K. Narayan & Joel Abraham - 571-586 The Impact Of Covid-19 On Carbon Emissions: Empirical Evidence From China
by Yanwei Lyu & You Wu & Wenqiang Wang & Jinning Zhang - 587-606 Do Financial Technology Firms Influence Labour Force Outcomes In Indonesian Banks?
by Paresh Kumar Narayan & Dinh Hoang Bach Phan - 607-616 Do Price Controlled Basic Food Items Affect Inflation In Fiji?
by Joel Abraham & Akeneta Vonoyauyau & Seema Wati Narayan - 617-636 Does Corruption Matter For Corporate Payouts In The Covid Era? Evidence From Muslim Countries
by Hasan Tekin - 637-658 Coin Specific Sentiments Matter For The Nonfungible Tokens Spillovers: How And When?
by Oguzhan Cepni & Ahmet Faruk Aysan - 659-692 Monetary Policy And Aggregate Demand In India: An Analysis Of Post-Reform Period
by Prem Kumar
September 2023, Volume 26, Issue 3
- 397-436 An Estimated Open-Economy Dsge Model For The Evaluation Of Cen Tion Of Central Bank Policy Mi Tral Bank Policy Mix
by Solikin M. Juhro & Denny Lie & Aryo Sasongko - 437-444 How Are Fuel Prices Linked To Fiji’S Macroeconomy?
by Joel Abraham & Prof. Paresh K. Narayan - 445-468 Trend Infl Trend Inflation In Modera Tion In Moderate And L Te And Low Infl Ow Inflation Periods: The Implica Periods: The Implication Of Th Tion Of Thai Mone Ai Monetary Policy
by Nipit Wongpunya - 469-490 Entrepreneurship, Financial De Eneurship, Financial Development And E Elopment And Economic Gr Conomic Growth
by Mohsen Mohammadi Khyareh - 491-512 A Financial Technology Index For Indonesia 2017 - 2020
by Nur Aini & Nasrudin - 513-538 How Global Value Chains Affect Economic Output And Unemployment: An Empirical Evidence From Asean Countries
by Sri Juli Asdiyanti Samuda - 539-560 Dual Mone Al Monetary Policy And Income Inequ Y Policy And Income Inequality In Indonesia
by Emira Arefa Aji & Raditya Sukmana
May 2023, Volume 26, Issue 2
- 192-220 Price Setting Behavior In An Online Market
by Fiskara Indawan & Aryo Sasongko & Dian Rahmawati - 221-250 Growth Effects Of Currency Misalignment And Capital Flight In Turkey
by Abdullahil Mamun & Harun Bal & Shahanara Basher & Md Mahi Uddin & Nazamul Hoque - 251-288 Gthe Impact Of Technological Innovation On Labor Structure: Evidence From Vietnam Smes
by Dam Duc Le - 289-310 Determinants Of Bank Performance: Revisiting The Role Of Ceo’S Personality Traits Using Graphology
by Thanh Ngo & Tu DQ Le & Dat T Nguyen & Tin H Ho - 311-332 The Economics Of Startup Business Finance: An Investigation Through The Lens Of Financial Growth Cycle Theory
by Yesubabu Konga & Kasilingam Ramaiah - 333-360 A New Economic Perspective: Understanding The Impact Of Digital Financial Inclusion On Indonesian Households Consumption
by Alwahidin N & Arlita Jufra & Beti Mulu & Kiki Novita Sari - 361-394 The Dynamic Of Indonesi Amic Of Indonesia’S Sectoral Economic Cy Oral Economic Cycles
by Monica Karina Anastasia & Pahmi Utamaraja Ginting & Risqia Fadhilah Syahrir & Oki Hermansyah & Muhamad Shiroth
March 2023, Volume 26, Issue 1
- 1-38 Risk Appetite And Foreign Exchange Intervention In An Inflation-Targeting Framework: The Case Of Indonesia
by Alexander Lubis & Constantinos Alexiou & Joseph G. Nellis - 39-68 Interlinka Terlinkage Of M Ge Of Macroeconomic Uncer Croeconomic Uncertainty And Macroeconomic Performance: Evidence From Asean-5 Countries Panel Var
by Rifai Afin - 69-104 Efficiency, Productivity, And Openness: Empirical Evidence From Asean Plus Three Economies
by Mohammad Zeqi Yasin - 105-124 The Asymme The Asymmetric Ex Tric Exchange Ra Ange Rate Pass-Through T Ass-Through To Inflation In The Selected Asean Countries
by Agus Widarjono & Md Mahmudul Alam & Eko Atmadji & Priyonggo Suseno & Listya Endang Artiani - 125-144 The Asymme The Asymmetric Ex Tric Exchange Ra Ange Rate Pass-Through T Ass-Through To Inflation In The Selected Asean Countries
by Nevi Danila - 145-174 The Asymmetric Relationship Between Macroeconomic Determinants And Nonperforming Loans: Evidence From The Banking Industry Of Indonesia
by Faaza Fakhrunnas & Rindang Nuri Isnaini Nugrohowati & Razali Haron & MB Hendrie Anto - 175-190 Forecasting Exchange Rate Volatility In India Under Univariate And Multivariate Analysis
by Sushil Kumar Rai & Akhilesh Kumar Sharma
March 2022, Volume 25, Issue Special Issue
- 1-1 Stimulating Economic Recovery, Promoting Sustainable- Inclusive Growth: Challenges And Opportunities
by Paresh Kumar Narayan & Solikin M. Juhro - 1-1 A Reflection Of Sustainable Inclusive Growth Post-Pandemic And The Central Bank’S Challenges Beyond Stability
by Perry Warjiyo - 1-18 Is Indonesia’S Current Account Balance Optimal? Evidence From An Intertemporal Approach
by Bhavesh Garg & K.P. Prabheesh - 19-42 The Impact Of Covid-19 On Digital Payment Habits Of Indian Households
by Rajas Saroy & Sakshi Awasthy & Naveen K. Singh & Sonali M. Adki & Sarat Dhal - 43-60 Pandemics, Lockdown And Economic Growth: A Region-Specific Perspective On Covid-19
by Devi Prasad Dash & Narayan Sethi - 61-84 The Economic Effects Of Covid-19 Mitigation Policies On Unemployment And Economic Policy Uncertainty
by Anasuya Haldar & Narayan Sethi - 85-102 Does Innovation Outcomes Influence Performance Of Indian Manufacturing Firms?
by Badri Narayan Rath & Poulomi Bhattacahrya - 103-124 Does Bank Efficiency Enhance Bank Performance? Empirical Evidence From Indian Banking
by Bijoy Rakshit & Samaresh Bardhan - 125-160 Foreign Direct Investment And Wage Spillovers In The Indonesian Manufacturing Industry
by Mohammad Zeqi Yasin & Miguel Angel Esquivias & Nur Arifin
January 2022, Volume 25, Issue 4
- 495-530 Analyzing Collateral Repo Haircuts In Asian Countries
by Iman Gunadi & Aryo Sasongko & Dian Fitriarni Sari - 531-574 Is International Monetary Policy Coordination Feasible For The Asean-5 + 3 Countries?
by Eric Alexander Sugandi - 575-596 Currency Crises And Contagion Channels In Asian Economies
by Tey Sheik Kyin & Lee Chin - 597-622 Macro-Financial Determinants Of Default Probability Using Copula: A Case Study Of Indonesian Banks
by Maulana Harris Muhajir & Pierre SIX & Jung-Hyun Ahn - 623-646 Foreign And Private Domestic Investments In Indonesia: Crowding-In Or Crowding-Out?
by Aris Setiyanto - 647-672 The Effect Of Corporate Tax Policy On Foreign Direct Investment: Empirical Evidence From Asian Countries
by Adi Lesmana & Widyono Soetjipto - 673-688 The Effect Of Covid-19 Pandemic On The Risks Of Investments In Indonesia: Evidence From The Egarch Model
by Meinisa Fadillah Rahmi & Nasrudin
November 2022, Volume 25, Issue 3
- 275-290 The Impact Of Domestic Investors’ Participation In Government Debt On Bank Loans To The Private Sector: A Cross-Country Study
by Justina Adamanti & Sugiharso Safuan & Zaäfri Ananto Husodo - 291-322 Nowcasting Regional Economic Growth In Indonesia
by Jesica Nauli Br. Siringo Ringo & Anugerah Karta Monika - 323-370 Indonesia’S Financial Stress Events And Macroeconomic Dynamics
by Sugiharso Safuan & Eric Alexander Sugandi & Okta Qomaruddin Aziz & Risna Triandhari - 371-398 Asymmetric Impacts Of Monetary Policy Shock On Output Gap: Evidence From Regions In Indonesia
by Sugeng Triwibowo & Defy Oktaviani - 399-438 Pandemic Shocks And Macro-Financial Policy Responses: An Estimated Dsge-Var Model For Indonesia
by Advis Budiman & Sugiharso Safuan & Solikin M. Juhro & Febrio N. Kacaribu - 439-470 The Systemic Risk In The Gulf Cooperation Council Countries’ Equity Markets And Banking Sectors: A Dynamic Covar Approach
by Aktham Maghyereh & Nader Virk & Basel Awartani & Mohammad Al Shboul - 471-492 From School To Work: Does Vocational Education Improve Labour Market Outcomes? An Empirical Analysis Of Indonesia
by Dyah S. Pritadrajati
August 2022, Volume 25, Issue 2
- 135-154 Does International Monetary Policy Influence The Bank Risk? Evidence From India
by Ameen Omar Shareef & K.P. Prabheesh - 155-172 Central Bank Independence And Price Stability Under Alternative Political Regimes: A Global Evidence
by Afees A. Salisu & Elias A. Udeaja & Silva Opuala-Charles - 175-204 Are Financial Institutions Tax Aggressive? Evidence From Corporate Tax Return Data
by Subagio Efendi & Salim Darmadi & Robert Czernkowski - 203-214 The Asymmetric Effects Of Exchange Rate Volatility On International Trade In A Transition Economy: The Case Of Vietnam
by Loc Dong Truong & Ha Hoang Ngoc Le & Dut Van Vo - 215-234 The Effects Of Rent Seeking Activities On Economic Growth In Middle-Income Countries
by Zi Wen Vivien Wong & Fanyu Chen & Siong Hook Law & Normaz Wana Ismail - 235-256 The Impact Of Fiscal Space On Indonesia’S Fiscal Behavior
by Marcella Alifia Kuswana Putri & Chandra Utama & Ivantia Savitri Mokoginta - 257-272 Does Credit Performance Change In The Post- Covid-19? Evidence From Java Island, Indonesia
by Darjana Darjana & Sudarso Kadero Wiryono & Deddy Priatmodjo Koesrindartoto
June 2022, Volume 25, Issue 1
- 1-24 Central Bank Digital Currency: What Factors Determine Its Adoption?
by Novi Maryaningsih & Suahasil Nazara & Febrio N. Kacaribu & Solikin M. Juhro - 25-36 A Note On Public Debt-Private Investment Nexus In Emerging Economies
by Dinci J. Penzin & Afees Salisu & Benedict N.Akanegbu - 37-54 Time And Frequency Dependency Of Foreign Exchange Rates And Country Risk:Evidence From Turkey
by DerviÅŸ Kirikkaleli & Mustafa Tevfik Kartal & Tomiwa Sunday Adebayo - 55-72 Finance And Endogenous Growth
by Delano Segundo Villanueva - 73-96 Credit Risk Amid Banking Uncertainty In Vietnam
by Van Dan Dang & Hoang Chung Nguyen - 97-116 Fiscal And Monetary Policy Interactions In Indonesia During Periods Of Economic Turmoil In The Us: 2001q1-2014q4
by Chandra Utama & Insukindro & Ardyanto Fitrady - 117-132 Threshold Effect In The Relationship Between Inflation Rate And Economic Growth In Indonesia
by Adam Luthfi Kusumatrisna & Iman Sugema & Syamsul H. Pasaribu
January 2021, Volume 24, Issue Special Issue
- 1-1 EDITORIAL Maintaining Stability, Promoting Sustainable Growth amidst Global Challenges, The 14th BMEB International Conference Special Issue
by Paresh Kumar Narayan & Solikin M. Juhro - 1-1 Rethinking Macroeconomy and Central Banking in the New Normal
by Perry Warjiyo - 1-14 The Covid-19 Pandemic And Indian Pharmaceutical Companies: An Event Study Analysis
by Chinmaya Behera & Badri Narayan Rath - 15-32 The Impact Of Covid-19 On Islamic And Conventional Stocks In Indonesia: A Wavelet-Based Study
by Mohsin Ali & Urooj Anwar & Muhammad Haseeb - 33-58 The News Effect Of Covid-19 On Global Financial Market Volatility
by Anasuya Haldar & Narayan Sethi - 59-88 Competition, Diversification, And Stability In The Indonesian Banking System
by Mudeer Ahmed Khattak & Baharom Abdul Hamid & Muhammad Umar Islam & Mohsin Ali - 89-106 Asymmetric Adjustment Of The Sectorial Lending-Deposit Rate Spread In Fiji
by Shamal Shivneel Chand & Baljeet Singh - 107-128 Credit Risk Modelling For Indian Debt Securities Using Machine Learning
by Charumathi Balakrishnan & Mangaiyarkarasi Thiagarajan - 129-150 Women In A Dual Board System And Dividend Policy
by Tastaftiyan Risfandy & Timotius Radika & Leo Indra Wardhana
December 2021, Volume 24, Issue 4
- 489-516 Covid-19 Uncertainty And Monetary Policy Responses: Evidence From Emerging Market Economies
by K.P. Prabheesh & Solikin M. Juhro & Cicilia A. Harun - 517-540 What Drives Persistently High Inflationary Pressures In Vietnam? Some Evidence From The New Keynesian Curve Framework
by Xuan-Hoa Nghiem & Seema Narayan - 541-558 Assessing The Competitiveness Of Firms In The Indian Manufacturing Sector: An Inter Industry Analysis
by Pradipta Kumar Sahoo & Badri Narayan Rath & iet Le - 559-588 Fintech, Banks, And The Covid-19 Pandemic: Evidence From Indonesia
by Militcyano Samuel Sapulette & Nury Effendi & Teguh Santoso - 589-630 Dynamic Relationship Between Capital Inflows And Bank Lending: The Role Of Commodity Price And Global Financial Market Shocks
by Doni Satria & Nachrowi Djalal Nachrowi & Telisa A. Falianty & Iskandar Simorangkir - 631-640 Access To Credit And Physical Capital Stock: A Study Of Non-Farm Household Enterprises In Nigeria
by Obed I. Ojonta & Jonathan E. Ogbuabor - 641-658 Knowing The Unknowns – Fresh Insights From An Unknown Stock Market
by Susan Sunila Sharma & Naoyuki Yoshino & Farhad Taghizadeh-Hesary
September 2021, Volume 24, Issue 3
- 313-334 Understanding Market Reaction To Covid-19 Monetary And Fiscal Stimulus In Major Asean Countries
by Syed Aun R. Rizvi & Solikin M. Juhro & Paresh Kumar Narayan - 335-364 Volatility Spillover Of Intraday Exchange Rates On Some Selected Asean Countries
by Neluka Devpura & Iman Gunadi & Aryo Sasongko - 365-382 Covid-19, Policy Responses, And Industrial Productivity Around The Globe
by Bernard Njindan Iyke & Susan Sunila Sharma & Iman Gunadi - 385-414 Diversification Gains For A Home Biased Trader In The Emerging And Frontier Equity Markets
by Seema Wati Narayan & Sivagowry Srianathakumar & Greeni Maheshwari & Mobeen Ur Rehman - 413-440 Foreign Trade, Education, And Innovative Performance: A Multilevel Analysis
by Ahmet Faruk Aysan & Luis Carlos Castillo-Téllez & Dilek Demirbas & Mustafa Disli - 441-464 Real Exchange Rate Misalignments: The Case Of The Indonesian Rupiah
by Rasbin & Mohamad Ikhsan & Beta Y. Gitaharie & Yoga Affandi - 465-486 The Effect Of Saving Account Ownership And Access To Financial Institutions On Household Loans In Indonesia
by Robby Maulana & Chaikal Nuryakin
June 2021, Volume 24, Issue 2
- 169-180 Palm Oil Price–Exchange Rate Nexus In Indonesia And Malaysia
by Afees A. Salisu & Abdulsalam Abidemi Sikiru - 181-204 Determinants Of School Enrolment In Indonesia: The Role Of Minimum Wage
by Dyah Savitri Pritadrajati - 205-220 Effects Of Rent-Seeking On Economic Growth In Low-Income Economies
by Zi Wen Vivien Wong & Fanyu Chen & Thian Hee Yiew - 221-236 Does Corporate Governance Matter For Asset Quality Of Islamic Banks?
by Ejaz Aslam & Aziz Ur-Rehman & Anam Iqbal - 237-254 Does The Service Trade Openness Mitigate Real Exchange Rate Volatility?
by Febrio Kacaribu & Syahda Sabrina & Teuku Riefky - 255-282 The Internet Miracle: The Impact Of Internet Access On Household Saving In Indonesia
by Rahmanda Muhammad Thaariq & Arif Anindita & Hafizha Dea Iftina
March 2021, Volume 24, Issue 1
- 1-34 Does Economic Integration Increase Female Labour Force Participation? Labour Force Participation?
by Seema Narayan & Tri Tung Nguyen & Xuan-Hoa Nghiem - 35-52 Spillover Effects Of Exchange Rate Returns In Selected Asian Countries
by Neluka Devpura - 53-70 Terrorist Attacks And Corporate Investment In Indonesia
by Dat Thanh Nguyen & Dinh Hoang Bach Phan & Van Ky Long Nguyen - 71-92 Adjustment Speed Of Debt Maturity: Evidence From Financial Crises In East Asia
by Hasan Tekin & Ali Yavuz Polat - 93-118 Trade Creation And Trade Diversion Effects: The Case Of The Asean Plus Six Free Trade Area
by Rossanto Dwi Handoyo & Lilik Sugiharti & Miguel Angel Esquivias - 119-150 Asymmetric Transmission Of Monetary Policy To Interest Rates: Empirical Evidence From Indonesia
by Fitri Ami Handayani & Febrio Kacaribu - 151-168 Foreign Ownership, Stock Performance-Risk, And Macroeconomic Factors In Asean Countries
by Ahmad Maulin Naufa & Mamduh M. Hanafi & I Wayan Nuka Lantara
January 2020, Volume 23, Issue Special Issue
- 1-14 Consumer Sentiment And Indonesia'S Stock Returns
by Deepa Bannigidadmath - 15-32 Impact Of Remittances On Private Sector Credit In The Pacific Island Countries
by Hong Chen & Shamal Chand & Baljeet Singh - 33-60 Income Expectations, Credit To Households, And Property Prices: Evidence From Indonesia And Brazil
by Huson Ali Ahmed - 61-86 Do Natural Disasters Increase Financial Risks? An Empirical Analysis
by Chun-Ping Chang & Li Wan Zhang - 87-108 Income Structure And Performance: An Empirical Analysis Of Islamic And Conventional Banks In Indonesia
by Mohsin Ali & Mudeer Ahmed Khattak - 109-128 Spread Of Ict And Economic Growth In Pacific Island Countries: A Panel Study
by Keshmeer Kanewar Makun & T. K. Jayaraman - 129-150 Determinants Of Agriculture-Related Loan Default: Evidence From China
by Zhichao Yin & Lei Meng & Yezhou Sha
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 Briics
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 Of 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 Gem 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