Vol. 1 No. 1 (2026): ABQ Vol. 1 No. 1, April 2026

This issue consists of 5 articles from 19 authors affiliated with 6 institutions from 2 countries, including:

  • Indonesia (Bank Indonesia, IPB University,PMI-International Business School, Universitas Bhayangkara Jakarta Raya, PT Gema Mulia Semesta (Souvia))
  • Malaysia (Universiti Putra Malaysia)
Published: 2026-04-29

Articles

  • Indonesia’s Financial System Stability: Effects of Domestic and Global Factors

    Syifa Rifa Rosyadah, Hermanto Siregar, Fahmi Salam Ahmad (Author)
    1
    DOI: https://doi.org/10.17358/abq.1.1.1
  • Spillovers Between Indonesia's Green Index, Conventional Index and Global Stock Index: Which is More Stable?

    Ade Holis, Edi Sumanto, Roy Hendra Michael Sembel, Adler Haymans Manurung (Author)
    12
    DOI: https://doi.org/10.17358/abq.1.1.12
  • Asymmetric Effects of Macroeconomic Variables on Stock Market Indices: Evidence From Developed and Emerging Economies

    Imatul Hamza, Linda Karlina Sari, Sendy Watazawwadu’Ilmi Watazawwadu’Ilmi, Fuad Wahdan Muhibuddin (Author)
    25
    DOI: https://doi.org/10.17358/abq.1.1.25
  • Ownership Structure as a Resilience Moderator: Phase-Dependent Asymmetric Drawdown Dynamics in Blue-Chip Versus Broad-Market Indices During a Geopolitical Crisis

    Muchammad Bachtiar, Fithriyyah Shalihati, Agustina Widi Palupiningrum, Anny Ratnawati (Author)
    39
    DOI: https://doi.org/10.17358/abq.1.1.39
  • Does Financial Development Widen or Reduce Income Inequality? Evidence From Developed and Developing Countries

    Trincy Nissi, Noer Azam Achsani, Heni Hasanah, Annisa Ramadanti (Author)
    52
    DOI: https://doi.org/10.17358/abq.1.1.52