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Menampilkan 1–6 dari 6 artikel
Digital Transformation in Financial Risk Management: Opportunities, Challenges, and Future Trends
Deni Sunaryo
; Hamdan Hamdan
; Dita Ayu Pramesylia
; Wilda Oktariani
; Ema Imelda
International Journal of Management and Digital Sciences
Vol 2
, No 2
(2025)
The integration of digital technologies such as artificial intelligence (AI), blockchain, and big data analytics into financial risk management has substantially altered operational dynamics within various industries. This paper explores the dual-edged impact of these technologies, emphasizing both the opportunities they create and the challenges they present. Opportunities discussed include enhanced decision-making through advanced data processing, increased transactional transparency and secur...
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Risk Management and Its Influence on Corporate Performance: A Systematic Literature Review Approach
Deni Sunaryo
; Yoga Adiyanto
; Ega Violita
; Fatin Nabila
; Killah Eneng Killah
International Journal of Management Science and Entrepreneurship
Vol 2
, No 1
(2025)
Objective: This study investigates the critical role of risk management practices in enhancing corporate performance, with a specific focus on financial institutions and manufacturing sectors. The research aims to uncover how effective risk management contributes to organizational resilience, operational efficiency, and long-term sustainability.Methodology: A Systematic Literature Review (SLR) methodology was employed to analyze 11 peer-reviewed academic articles published between 2015 and 2023....
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Analysis Understanding Financial Risk in Debt Instruments: The Role of Debt Repayment Provisions in Preferred and Common Stock
Deni Sunaryo
; Ahmad Firdaus
; Fahaina Izzatul Jannah
; Ira Firanti Apriliani
; Shinta Aprilia Fatimahtuzahra
International Journal of Management and Digital Sciences
Vol 2
, No 1
(2025)
Debt instruments, particularly those related to preferred and common stocks, play an important role in capital markets and corporate finance. One of the crucial elements that influence investment decisions and corporate policies is debt repayment provisions. Preferred stocks, with higher priority in terms of debt repayment, provide a sense of security for investors because they provide greater protection against the risk of loss. In contrast, common stocks, which have lower priority in debt repa...
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Risk Financing Transfers and Risk Retention : A Semantic Literature Analysis for Financial Stability
Deni Sunaryo
; Yoga Adiyanto
; Iffah Syarifah
; Salwa Dita
; Diana Salsa Bella
International Journal of Management Science and Business
Vol 1
, No 4
(2024)
The increasingly dynamic global financial landscape demands effective risk management strategies to ensure financial stability and institutional sustainability. Two critical approaches, risk financing transfers and risk retention, offer complementary solutions. Risk financing transfers allow institutions to redistribute financial risks to third parties through mechanisms such as securitization and Credit Risk Transfers (CRTs), improving market efficiency. In contrast, risk retention emphasizes a...
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A Comprehensive Approach to Financial Risk Management: Analysis of Regulation, Innovation and Sustainability Through Semantic Literature Reviews
Mughni Lestari
; Bagas Febriyanto
; Novita Sari Marbun
; Deni Sunaryo
; Yoga Adiyanto
International Journal of Management Science and Entrepreneurship
Vol 1
, No 4
(2024)
Financial risk management is an important element in maintaining global economic stability. This study explores the relationship between regulation, technological innovation, and sustainability as three main pillars in modern financial risk management. Using the Semantic approach Literature Review (SLR), this study analyzes the literature from 50 selected scientific articles published between 2018 and 2024. The results of the study show that regulations such as Solvency II and IFRS 17 strengthen...
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The Influence of Investment Opportunity Set (IOS) and Return on Assets on The Quality of Earnings With Company Size as A Moderation Variable
Deni Sunaryo
; Etty Puji Lestari
; Siti Puryandani
; Hersugondo Hersugondo
Proceeding. of The International Conference on Business and Economics
Vol 1
, No 2
(2023)
This study aims to examine the effect of investment opportunity set and return on assets on earnings quality with company size as a moderating variable in manufacturing companies listed on the Indonesia Stock Exchange (IDX) for the 2019-2021 period. The sampling technique used was purposive sampling, based on predetermined criteria, there were 171 companies or 513 financial statement data as samples. The analytical method of this study uses multiple linear regression analysis and Moderated Regre...
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