Sigit Sulistiyo Wibowo, Ph.D., CFP®

No Title of Publication Journal Name Delete link
1 The Profitability of Momentum Strategies : A Study of Indonesian Stock Exchange
The Indonesian Capital Market Review, 2019, Vol. 11(1): 15-29 (with R.L. Mosii)
2 Identifying Credit Constraints Using Direct Elicitation Methodology: the Case of Indonesia
International Journal of Governance and Financial Intermediation, 2018, Vol. 1(1): 59-81
3 Empirical Analysis of Oil Price Volatility and Stock Returns in ASEAN-5 Countries Using DCC-GARCH
Pertanika Journal of Social Sciences & Humanities, 2018, Vol. 26 (S): 251-264 (with E. Surya)
4 The Influence of Bank Size, Capital, and Funding Structure to Systemic Risk: Evidence from ASEAN-5 Countries
International Journal of Economics & Management, 2017, Vol. 11 (S2): 447-457 (with M. Ihsan)
5 Corporate Bond Trading in Indonesia: An Empirical Study of the Role of Volume and Volatility
International Journal of Bonds and Derivatives, 2017, Vol. 3(3): 204-222 (with S.U. Puspaputri)
6 The Impact of Social Capital on Crowdfunding Performance: A Case Study of
The South East Asian Journal of Management, 2017, Vol. 10(1): 44-57 (with L. Aprilia)
7 Exploring the Motivation Toward and Perceived Usefulness of a Financial Education: Program Offered to Low-income Women in Indonesia
ASEAN Journal of Community Engagement, 2017, Vol. 1(1): 17-24 (with S.R. Hijrah Hati)
8 Cash and Financial Constraints: An Empirical Analysis of Non-Financial Firms Listed in Indonesian Stock Exchange 2005-2014
Sebelas Maret Business Review, 2016, Vol. 1(1): 1-9 (with S. Lolyta)
9 Perbandingan Metode GARCH BEKK dan Matriks Varian-Kovarian untuk Penaksiran Volatilitas Mata Uang dan VaR
Manajemen Usahawan Indonesia, 2016, Vol. 16(4): 319-322 (with B. Hermanto)