Golden Ratio of Finance Management with e-ISSN 2776-6780 encourages courageous and bold new ideas, focusing on contribution, theoretical, managerial, and social life implications. Golden Ratio of Finance Management fosters the exploration of finance phenomena. It includes the dynamics of assets and liabilities over time under conditions of different degrees of uncertainty and risk. Banking is the business conducted or financial services offered by a bank.
Publication Frequency: Semi Annual Issues Per Year Issue 1, October to March, and Issue 2, April to September.
Language: English
Prefix DOI: 10.52970/grfm
EIC: Aditya Halim Perdana Kusuma Putra|Scopus|Scholar|Orcid|WoS|RG|Sinta
Members, Abstract & Indexing: Crossref | RJI | Orcid.org | Scite | Dimension - Digital Service | Google Scholar | ROAD | Garuda | DORA | Scilit | Kudos | Copernicus
Current Issue
Vol. 3 No. 1 (2023): October - March
Articles
Analysis of The Effects of Ownership-Structure and Social Responsibility on Profitability and Company Value
01 - 10
Comparison of Financial Distress Predictions With Altman, Springate, Zmijewski, and Grover Models
11 - 21
The Effect of Financial Performance on the Stock Price of Service Companies Listed on the Indonesia Stock Exchange (IDX)
22 - 34
Analysis of Financial Performance at PT Semen Indonesia (Persero), Tbk Listed on the Indonesia Stock Exchange
35 - 44
The Effect of Capital Structure on Firm Value in Banking Companies Listed on the Indonesia Stock Exchange
44 - 55
License Term
This work is licensed under a Creative Commons Attribution-ShareAlike 4.0 International License.
Platform & Workflow by OJS / Public Knowledge Project (PKP)
Golden Ratio of Finance Management Indexed and Journal List Title by: