Bambang Sutrisno

Bambang Sutrisno
  • SE, MSM
  • Universitas Muhammadiyah Jakarta

About

34
Publications
69,472
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192
Citations
Introduction
Skills and Expertise
Current institution
Universitas Muhammadiyah Jakarta

Publications

Publications (34)
Article
Full-text available
This paper investigates the influence of foreign direct investment and international trade on environmental quality in Indonesia from 1990 to 2018. Environmental quality is measured by carbon dioxide emissions. The estimation method employed is autoregressive distributed lag. This study finds that foreign direct investment positively affects carbon...
Article
Full-text available
In the last decade, gender diversity on boards or women in the boardroom has gained the attention of academics and practitioners. This paper aims to explore how women directors affect corporate cash holdings in Indonesia. This study utilizes data on Kompas 100 index firms for 2014–2021. A fixed-effect estimator is used to analyze data. The study re...
Book
Full-text available
MATEMATIKA DALAM EKONOMI DAN BISNIS (Teori & Model Penerapan) ISBN : 978-623-09-3483-4 (PDF) Bagian 1: Konsep dasar matematika dalam ekonomi dan bisnis (Peran Simanihuruk, S.E., M.Si) Bagian 2: Aplikasi Fungsi Linear dalam Ekonomi (Bambang Sutrisno, S.E., M.S.M) Bagian 3: Aplikasi Fungsi Non Linear dalam ekonomi (Nurul Sriminarti, S.E., M.M) Bagian...
Article
Full-text available
Stock price crash risk is defined as the risk of an extreme decline in stock prices. Stock price crash risk destroys the value of investors' portfolios and significantly affects their wealth. A number of literatures find that corporate governance systems can reduce stock price collapse risk. Departing from previous literature, there has been no stu...
Article
Full-text available
In collaboration with the Sharia Economic Community (MES), Indonesia Stock Exchange (IDX) launched a new Islamic index called IDX-MES BUMN 17 on 29 April 2021. This study aims to investigate market reaction to the issuance of the IDX-MES BUMN 17 index. This study employs event study methodology. The market-adjusted model measures the abnormal retur...
Article
Full-text available
The purpose of this paper is to examine the effect of gender, academic achievement, residence, and parents’ income on the financial literacy of undergraduate students at Universitas Muhammadiyah Jakarta. The research sample was 396 students. This study applies multinomial logistic regression analysis technique. The results showed that academic achi...
Article
Full-text available
The COVID-19 outbreak highly affected the continuity of public firms. Cash holding decisions are one of the captivating issues in the corporate finance area during the COVID-19 pandemic. This study examines the difference in cash holding levels before and after the COVID-19 pandemic. Public firms included in the LQ45 index are examined. By employin...
Article
Full-text available
This study is entitled the short-term response of the Indonesian stock market to political events. This study aims to analyze the market reaction to the holding of the presidential election of the Republic of Indonesia which took place in 2019. The researcher uses the literature study method, which is used to observe the information content of a po...
Article
This study is entitled the short-term response of the Indonesian stock market to political events. This study aims to analyze the market reaction to the holding of the presidential election of the Republic of Indonesia which took place in 2019. The researcher uses the literature study method, which is used to observe the information content of a po...
Article
Full-text available
The purpose of this study is to measure the impact of Perceived Organizational Support and Job Involvement on Employee Loyalty at PT. Bank Rakyat Indonesia (BRI), the Kebayoran Baru Branch office. The research method is quantitative with data collection through a survey using Google Forms distributed to employees of PT. Bank BRI Kebayoran Baru bran...
Article
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Volatility is a statistical measure of stock price fluctuation. This study aims to investigate the effect of trading volume, firm size, inflation, and exchange rate on stock price volatility of the companies included in the Jakarta Islamic Index (JII) from 2014 to 2018. By using a purposive sampling technique, the research sample is sixteen compani...
Article
We examine the performance of the Fama-French three (FF3) and five-factor (FF5) models in Indonesia and Singapore markets. We also investigate whether the book-to-market factor (HML) is redundant in both markets if profitability and investment factors are present. Different from previous studies, our empirical findings highlight that FF5 does not p...
Article
We examine the performance of the Fama-French three (FF3) and five-factor (FF5) models in Indonesia and Singapore markets. We also investigate whether the book-to-market factor (HML) is redundant in both markets if profitability and investment factors are present. Different from previous studies, our empirical findings highlight that FF5 does not p...
Article
Full-text available
The right issue announcement may lead the market to react and affect the stock performance. This study aims to analyze the effect of the right issue on the abnormal return. This research uses a sample of 18 firms listed in the Indonesia Stock Exchange from 2014 to 2016. This study employs one sample t test and wilcoxon test. The results show that t...
Article
Full-text available
This study empirically investigates the effect of the addition of Indonesian firms in the sustainable and responsible investment index (SRI-KEHATI index) on stock performance. This study applies an event study methodology using a single index model. The empirical results reveal that there are two days with significant abnormal returns, namely d+1 and...
Article
Right issue is the subsequent stock offerings that give priority to the existing shareholders to buy new shares at a specified price and time. There are several reasons why a firm does right issue, for example, to raise firm’s capital, investment expansion or to pay the debt. The objective of this study is to analyze the effect of the right issue o...
Book
Full-text available
Kehadiran ekonomi islam pada dasarnya adalah untuk memastikan setiap denyut dan napas ekonomi dijalankan, serta membuat masyarakat menjadi semakin beriman dan bertakwa, sehingga Allah swt akan menurunkan kebaikan bagi kehidupan manusia (berkah). kebaikan bisa berbentuk kemakmuran, terpeliharanya tatanan sosial, atau lestarinya kehidupan masyarakat...
Article
Sampah telah menjadi masalah yang penting bagi masyarakat di perkotaan. Berbagai alternatif pengolahan sampah telah banyak ditawarkan, mulai dari proses pembakaran, composting, hingga daur ulang. Upaya-upaya pengelolaan sampah ini telah dilakukan oleh Komunitas Bank Sampah di Kelurahan Pancoran Mas Kota Depok. Beberapa ibu rumah tangga di wilayah i...
Article
Full-text available
This study investigates the performance of the CAPM and the Fama-French threefactor model in Indonesia. This research employs time-series regression with monthly data from 2005 to 2015. The results reveal that the Fama-French three-factor model performs better than the CAPM in describing the excess return of stock portfolios in Indonesia. This resu...
Article
Full-text available
Penelitian sebelumnya telah berfokus pada faktor penentu cash holding. Tujuan dari penelitian ini adalah menginvestigasi hubungan cash holding dan likuiditas saham di Indonesia. Penelitian ini menggunakan analisis data panel untuk sampel 115 perusahaan manufaktur yang terdaftar di Bursa Efek Indonesia selama periode 2010 sampai 2014. Penelitian ini...
Article
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1 1 ABSTRAK ABSTRAK Penelitian ini bertujuan untuk menganalisis determinan manajemen laba baik secara parsial maupun bersama-sama dengan CGPI, kualitas audit, ukuran perusahaan, dan leverage sebagai variabel bebas. Metode penelitian yang digunakan adalah analisis regresi data panel. Dengan menggunakan metode purposive sampling diperoleh sampel seba...
Article
Full-text available
A lot of prior studies examined the determinants of banks’ profitability, both in developed and developing countries. This paper aims to investigate factors affecting the profitability of 30 commercial banks listed on the Indonesia Stock Exchange (IDX) from 2012 to 2016. This study employs panel regression with annual data. The results reveal that...
Conference Paper
Right issue is the subsequent stock offerings that give priority to the existing shareholders to buy new shares at a specified price and time. There are several reasons why a firm does right issue, for example, to raise firm's capital, investment expansion or to pay the debt. The objective of this study is to analyze the effect of the right issue o...
Article
Full-text available
Previous studies have examined the procyclicality of loan loss provisions of conventional banks in developed markets. This study investigates whether loan loss provisioning of conventional banks in Indonesia is procyclical. This study also tests whether the procyclicality of loan loss provisions is conditional on conventional banks' discretionary m...
Article
Full-text available
The aim of this study is to examine the effect of the global financial crisis and firm characteristics on corporate cash holdings in Indonesia. A total of 101 manufacturing firms listed in the Indonesia Stock Exchange from 2005 to 2014 are examined. This study employs panel regression with fixed effect model. The results show that Indonesia firms h...
Article
Full-text available
This paper aims to examine the effect of cash holding on firm value in Indonesia. This study tested empirically for the existence of a linear relationship between cash holding and firm value. Then the study examines whether or not a quadratic relationship exists. A total of 115 manufacturing firms listed on the Indonesia Stock Exchange from 2010 to...
Article
Full-text available
This study aims to examine the effect of macroeconomic variables on sectoral indices in the Indonesian Stock Exchange. The difference in sensitiveness among sectors is an interesting issue to investigate this relationship in an emerging market, such as Indonesia. This study employs ordinary least square (OLS) as an estimation method with monthly ti...
Article
Full-text available
The Relationship Between Volatility and Trading Volume in The Indonesian Stock ExchangeThere are a lot of studies that examine the relationship between volatility and trading volume in the stock exchange. This study is conducted to examine the role of trading frequency and volume in explaining the volatility-volume relationship in the Indonesia Sto...
Article
Full-text available
The main purpose of this study is to evaluate and compare the performances of the Fama-French three-(FF3) and five-factor (FF5) models in the Indonesia stock market. This study also examines whether book-to-market factor (HML) is redundant in explaining the portfolio excess returns in Indonesia. This study employs asset pricing factor of the 2 x 3...

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