Jurnal Ekonomi, Manajemen dan Perbankan
Vol. 1 No. 2 November (2023): Multifinance

THE USE OF CORPORATE DERIVATIVE INSTRUMENTS IN FACING CRISES IN INDONESIA

Muhammad Syafri (Universitas Negeri Makassar)
Syamsu Rijal (Universitas Negeri Makassar)
Musran Munizu (Universitas Hasanuddin Makassar)
Eko Sudarmanto (Universitas Muhammadiyah Tangerang)
Sahabuddin Nanda (Universitas Muhammadiyah Makassar)



Article Info

Publish Date
04 Nov 2023

Abstract

This research aims to analyze the company's use of derivative instruments in facing the crisis. The research method is qualitative research a research method used to understand social phenomena in depth. This type of research is library research which researchers carry out by collecting, studying and analyzing references or sources. obtained in writing or written form such as books, journals, articles, documents and other sources of information that are significant to the topic/title being researched. The research results show that the use of derivative instruments by companies in facing a crisis is an important strategy to protect asset value, manage risk and maintain business continuity. Derivative instruments can provide significant benefits, such as hedging against price or exchange rate fluctuations, better risk management, additional access to liquidity, and portfolio diversification.

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Journal Info

Abbrev

multifinance

Publisher

Subject

Economics, Econometrics & Finance

Description

The Journal of Multifinance: Journal of Economics, Management and Banking is a journal that serves as a medium for studying various phenomena or issues as well as research findings related to Economics, Management, and Business in a broad sense. The journal aims to provide a platform for sharing ...