You may have to register before you can download all our books and magazines, click the sign up button below to create a free account.
This is an open access book. The INSYMA 19 will be the first INSYMA to be held in a hybrid format; the offline event will be held in Bali, Indonesia. Bali is chosen as the location of the INSYMA because it is known as Indonesia’s most famous tourist destination, not only for domestic but also for foreign tourists. Both offline and online presenters are welcome to contribute to this year’s conference. This is an open access book.
This is an open access book. With the rapid advancement of augmented reality, blockchain, and the internet, the metaverse is now within reach like never before. Companies are continuously pushing the boundaries of innovation to cater to the ever-evolving needs of consumers. They employ a diverse range of strategies to elevate the value of their products and stay ahead of the competition. However, not every company manages to achieve this feat, often due to resource limitations and the ability to understand dynamic market trends. The 20th INSYMA (International Symposium on Management) is bringing you further into the metaverse. This year’s theme is “The Metaverse and Beyond: Opportunity or Disaster? New Realities In Workplaces.
This book contains selected papers presented at the 4th International Seminar of Contemporary Research on Business and Management (ISCRBM 2020), which was organized by the Alliance of Indonesian Master of Management Program (APMMI) and held in Surubaya, Indonesia, 25-27 November 2020. It was hosted by the Master of Management Program Indonesia University and co-hosts Airlangga University, Sriwijaya University, Trunojoyo University of Madura, and Telkom University, and supported by Telkom Indonesia and Triputra. The seminar aimed to provide a forum for leading scholars, academics, researchers, and practitioners in business and management area to reflect on current issues, challenges and opportunities, and to share the latest innovative research and best practice. This seminar brought together participants to exchange ideas on the future development of management disciplines: human resources, marketing, operations, finance, strategic management and entrepreneurship.
The asymmetry of responsibilities between management and corporate governance both for day-to-day operations and the board’s monthly or quarterly review and evaluation remains an unresolved challenge. Expertise in the area of risk management is a fundamental requirement for effective corporate governance, if not by all, certainly by some board members. This means that along with board committees such as "compensation", "audit", "strategy" and several others, "risk management" committees must be established to monitor the likelihood of certain events that may cause the collapse of the firm. Risk Management and Corporate Governance allows academics and practitioners to assess the state of international research in risk management and corporate governance. The chapters overlay the areas of risk management and corporate governance on both financial and operating decisions of a firm while treating legal and political environments as externalities to decisions undertaken.
Dividends And Dividend Policy As part of the Robert W. Kolb Series in Finance, Dividends and Dividend Policy aims to be the essential guide to dividends and their impact on shareholder value. Issues concerning dividends and dividend policy have always posed challenges to both academics and professionals. While all the pieces to the dividend puzzle may not be in place yet, the information found here can help you gain a firm understanding of this dynamic discipline. Comprising twenty-eight chapters—contributed by both top academics and financial experts in the field—this well-rounded resource discusses everything from corporate dividend decisions to the role behavioral finance plays in div...
Salah satu program sertifikasi kompetensi bidang perbankan di Indonesia yang masih sangat dibutuhkan adalah bidang wealth management. Beberapa waktu lalu, Ikatan Bankir Indonesia (IBI) menerbitkan beberapa buku yang membahas bidang-bidang tertentu, seperti Mengelola Kredit Secara Sehat dan Bisnis Kredit Perbankan untuk bidang perkreditan bagi low and middle management, serta bidang lainnya, seperti manajemen risiko dan general banking. Sebagai kelanjutan dari buku-buku tersebut, kali ini IBI menerbitkan dua buku di bidang wealt management yang berjudul Wealth Management: Tata Kelola dan Wealth Management: Produk dan Analisis, yang dapat digunakan sebagai buku panduan uji kompetensi bidang we...
Salah satu program sertifikasi kompetensi bidang perbankan di Indonesia yang masih sangat dibutuhkan adalah bidang wealth management. Beberapa waktu lalu, Ikatan Bankir Indonesia (IBI) menerbitkan beberapa buku yang membahas bidang-bidang tertentu, seperti Mengelola Kredit Secara Sehat dan Bisnis Kredit Perbankan untuk bidang perkreditan bagi low and middle management, serta bidang lainnya, seperti manajemen risiko dan general banking. Sebagai kelanjutan dari buku-buku tersebut, kali ini IBI menerbitkan dua buku di bidang wealth management yang berjudul Wealth Management: Tata Kelola dan Wealth Management: Produk dan Analisis, yang dapat digunakan sebagai buku panduan uji kompetensi bidang w...
Buku ini membahas berbagai teori dan konsep investasi serta bagaimana menerapkannya dalam manajemen portofolio aset finansial. Topik-topik penting yang dibahas dalam buku ini adalah pengenalan konsep dasar investasi dan konsumsi, instrumen keuangan, serta mekanisme perdagangan di pasar modal Indonesia. Selain itu juga membahas bagaimana investor dapat mengevaluasi dan memberikan penilaian terhadap berbagai instrumen keuangan di pasar modal di antaranya saham dan obligasi serta surat berharga derivatif. Pengetahuan terhadap instrumen derivatif seperti kontrak opsi saham (option) dan kontrak berjangka (futures) tidak hanya membantu investor menggunakan instrumen tersebut untuk berspekulasi, te...
Perkembangan investasi di pasar modal mengalami perkembangan pesat dan dinamis, tidak hanya menyangkut jumlah investor dan jumlah dana yang diinvestasikan, tetapi juga jenis sekuritas yang diperdagangkan. Perkembangan ini tidak diikuti pengetahuan dan pemahaman masyarakat yang baik tentang seluk beluk investasi, instrumen investasi, tingkat risiko, dan mekanisme tansaksi. Buku ini membahas konsep dan teori investasi serta bagaimana menerapkannya dalam berinvestasi pada berbagai instrumen investasi di pasar modal Indonesia. Buku ini membahas topik pengertian pasar modal, mekanisme perdagangan, dan instrumen investasi di pasar modal. Risiko dan return dibahas secara lengkap sebab dalam melakuk...
Developing economic, accounting, and management strategies to cope with economic problems in Indonesia; proceedings of a conference held in Yogyakarta September 13-14, 2002.