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Macroeconomic Risk and Growth in the Southeast Asian Countries
Insight from SEA
William A. Barnett,Bruno S. Sergi
- 252 pages
- English
- ePUB (mobile friendly)
- Available on iOS & Android
Macroeconomic Risk and Growth in the Southeast Asian Countries
Insight from SEA
William A. Barnett,Bruno S. Sergi
About This Book
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.
The authors examine complex and pressing issues, including: competing models of risk reporting, the effect of corporate governance on the Indonesian stock market, and the influence of stakeholders in influencing the level of disruptive innovation disclosure in 15 countries around the world.
ISETE-33B gives fresh insight into financial and economic issues in ASEAN countries, written by authors from diverse backgrounds. This is essential reading for anyone interested in the financial evolution of these fast-moving economies.
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Table of contents
- Cover
- Title
- Chapter 1. A Bibliometric Analysis on Risk Reporting: A Systematic Literature Review
- Chapter 2. Financial Performance and Corporate Governance: Its Effect on Market Performance
- Chapter 3. Disruptive Innovation Disclosure Practices and Application of Stakeholder Theory
- Chapter 4. The Prospect and Volatility of Stock Prices in Aviation Business
- Chapter 5. Financial Performance and Ownership Structure: Influence on Firm Value Through Leverage
- Chapter 6. Achievement of Sustainable Development Goals in Gender Mainstreaming Through the Gender and Development Perspective
- Chapter 7. Institutional Ownership, Dividend Policy, Debt Policy, and Risk: An Analysis of Simultaneous Equation
- Chapter 8. Investor Behaviour During COVID-19 Pandemic: Do They Herding?
- Chapter 9. CO2 Emissions, Population, Tourism, Oil Consumption, and Corruption: Evidence from ASEAN 5 Developing Countries
- Chapter 10. Capital, Liquidity, Profitability, and Credit Risk Nexus: A Panel VAR Study on Selected Developing Countries
- Chapter 11. VaR Model for Managing Market Risk of Portfolio
- Index