Chapter 1. A Bibliometric Analysis on Risk Reporting: A Systematic Literature Review; Yeni Priatnasari, Djoko Suhardjanto, Agung Nur Probohudono, and Setyaningtas Honggowati
Chapter 2. Financial Performance and Corporate Governance: Its Effect on Market Performance; Nur Imamah, Saparila Worokinasih, Zeni Firdayani, and Jung-Hua Hung
Chapter 3. Disruptive Innovation Disclosure Practices and Application of Stakeholder Theory; Indrian Supheni, Djoko Suhardjanto, Rahmawati, and Agung Nur Probohudono
Chapter 4. The Prospect and Volatility of Stock Prices of Aviation Business; Ernie Hendrawaty, Rialdi Azhar, and Fajrin Satria Dwi Kesumah
Chapter 5. Financial Performance and Ownership Structure: Influence on Firm Value through Leverage; Harmono Harmono, Sugeng Haryanto, Grahita Chandrarin, and Prihat Assih
Chapter 6. Achievement of Sustainable Development Goals in Gender Mainstreaming through the Gender and Development Perspective; Izza Mafruhah and Indah Susilowati
Chapter 7. Institutional Ownership, Dividend Policy, Debt Policy, and Risk: An Analysis of Simultaneous Equation; St. Ibrah Mustafa Kamal and Eduardus Tandelilin
Chapter 8. Investor Behavior During Covid-19 Pandemic: Do They Herding?; Firda Nosita and Rifqi Amrulloh
Chapter 9. CO2 Emissions, Population, Tourism, Oil Consumption, and Corruption: Evidence from ASEAN 5 Developing Countries; Winny Perwithosuci, Izza Mafruhah, Evi Gravitiani, and Tamat Sarmidi
Chapter 10. Capital, Liquidity, Profitability and Credit Risk Nexus: A Panel VAR Study on Selected Developing Countries; Mochammad Doddy Ariefianto and Irwan Trinugroho
Chapter 11. VaR Model for Managing Market Risk of Portfolio; Firman Pribadi, Arni Surwanti, and Wen-Chung Shih