Chapter 1. Business Specific Risks and Stock Market Volatility as Indonesian Macroeconomic Risk Estimators; Ezra Valentino Purba and Zaaefri Ananto Husodo
Chapter 2. The Impact of Financial Literacy on Sustainability of Small Businesses: Government Policy Perspective; Kusdi Raharjo, Saparila Worokinasih, and Nur Imamah
Chapter 3. Real Earnings Management in Family Firms in Indonesia; Reny Damayanti Safitri, Tastaftiyan Risfandy, Inas Nurfadia Futri, and Rizky Yudaruddin
Chapter 4. How Bank Market Power and Diversification Affect Bank Stability? Evidence from Indonesia; Diyan Lestari, Andi Nurhikmah Daeng Cora, and Edwin Arojado Balila
Chapter 5. Chasing Daily Return of Socially Responsible Portfolio: Evidence from Indonesian Stock Exchange; Alyta Shabrina Zusryn, Muhammad Rofi, and Rizqi Umar Al Hashfi
Chapter 6. Systemic Risk: The Impact of Covid-19 on the Dual Banking System in Indonesia; Muh Rudi Nugroho and Akhmad Syakir Kurnia
Chapter 7. Assessing the Impact of Lockdown in Jakarta on the Economy: An Input-Output Approach; Achmad Rifa'i
Chapter 8. The Implementation of Financial Inclusion for Indonesian Migrant Workers Post Placement (Best Practice of Permanent Income Life Cycle Hypothesis); Nurul Istiqomah and Izza Mafruhah
Chapter 9. Profitability and Firm Value: the Role of Industry Competition, Market Value of Equity, and Debt Levels; Dany Adi Saputra and Doddy Setiawan
Chapter 10. The Effect of Moral Global Leadership Moderation on the Relationship between Achievement Motivation, Smart Work and Performance; Rahman El Junusi, Heru Sulistyo, Fadjar Setiyo Anggraeni, and Ferry Khusnul Mubarok
Chapter 11. Testing the Discriminant Validity and Heterotrait-Monotrait Ratio of Correlation (HTMT): A Case in Indonesian SMEs; Yong Dirgiatmo
Chapter 12. Generalist CEO and Firm Performance: Evidence from Indonesia; Diyah Kusuma Wardhani, Tastaftiyan Risfandy, Yunieta Anny Nainggolan, and Bowo Setiyono