2022
DOI: 10.3390/jrfm15080362
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Corporate Financial Strategy in an Emerging Market: Evidence from Indonesia

Abstract: This paper focuses on strategic corporate financial decisions related to capital structure to increased firm value, moderated by the COVID-19 pandemic under MM theory, trade-off theory, and pecking order theory. The analytical method used is panel data analysis, with observations of 1828 non-financial companies on the Indonesia Stock Exchange from the years 2019 to 2021. The results show that there is an effect of capital structure on firm value in a positive direction, and the moderating role of the COVID-19 … Show more

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Cited by 11 publications
(10 citation statements)
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“…With the surplus funds, it can be said that the leadership and staff have worked well in carrying out their duties and responsibilities so that the educational institutions obtain adequate financial benefits. It can also be said that the school's financial management is based on economic and professional principles (Alghifari, Hermawan, Gunardi, Rahayu, & Wibowo, 2022;Zaytsev, Blizkyi, Rakhmeeva, & Dmitriev, 2021). This means that the application of financial management pays attention to the effectiveness and efficiency of financial utilization following the needs of education (Atmadja et al, 2021).…”
Section: Discussionmentioning
confidence: 99%
“…With the surplus funds, it can be said that the leadership and staff have worked well in carrying out their duties and responsibilities so that the educational institutions obtain adequate financial benefits. It can also be said that the school's financial management is based on economic and professional principles (Alghifari, Hermawan, Gunardi, Rahayu, & Wibowo, 2022;Zaytsev, Blizkyi, Rakhmeeva, & Dmitriev, 2021). This means that the application of financial management pays attention to the effectiveness and efficiency of financial utilization following the needs of education (Atmadja et al, 2021).…”
Section: Discussionmentioning
confidence: 99%
“…Creditors should anticipate risks by adjusting the required rate of return on their investments. This was reflected in the higher cost of capital imposed on new loan applications and the weakening of banking stability throughout the COVID-19 outbreak (Alghifari et al , 2022; Elnahass et al , 2021). Therefore, this study proposes the following research questions.…”
Section: Literature Review and Hypotheses Developmentmentioning
confidence: 99%
“…Faktor eksternal yang dimaksud adalah ukuran perusahaan, pertumbuhan penjualan, dan industri tempat perusahaan beroperasi. Besar harapan peneliti agar perusahaan bisa membuat keputusan strategi pendanaan terbaik agar kondisi di pasar modal tetap stabil dan terkendali (Alghifari et al, 2022). Karakteristik perusahaan, seperti ukuran, umur, dan sektor industri, berpengaruh signifikan terhadap kebijakan keuangan perusahaan di Indonesia.…”
Section: Temuanunclassified