Dari Risiko Menjadi Peluang: Analisis Strategi Ketahanan Keuangan PT Denpoo Mandiri Indonesia Dalam Menghadapi Perekonomian Global
DOI:
https://doi.org/10.55606/cemerlang.v4i3.3011Keywords:
Financial Resilience, Global Economy, and Financial Strategy.Abstract
The ever-changing and volatile global economy poses significant challenges for businesses around the world. Faced with this uncertainty, financial resilience strategies are essential to help businesses not only survive but also thrive in a turbulent environment . This article aims to analyze the financial recovery strategies undertaken by PT. Denpoo Mandiri Indonesia in the face of a volatile global economy. Through a case study approach, we explore the specific steps these companies took to turn risks into opportunities, as well as the strategies that proved most effective in strengthening their key financial positions. Taking into account factors such as portfolio diversification, risk management and financial flexibility, we present an in-depth look at how PT Denpoo Mandiri Indonesia has managed to overcome the challenges of the global economy and turn them into opportunities for growth and long-term success.
References
Agus Harjito & Martono. (2011). Manajemen Keuangan. (Edisi Kedua, Cetakan Pertama). Yogyakarta: EKONISIA.
Aliminsyah, P. (2003). Buku Kamus Istilah Keuangan dan Perbankan. Jakarta: PT. Raja Grafindo Persada.
Anoraga, P., & Pakarti, P. (2001). Pengantar Pasar Modal. (Edisi Revisi). Jakarta: PT Asdi Mahasatya.
Ardiyos. (2006). Kamus Standar Akuntansi. Jakarta: Citra Harta Prima.
Brealey, R. A., Myers, S. C., & Marcus, A. J. (2008). Dasar-Dasar Manajemen Keuangan Perusahaan. (Jilid Kedua, Edisi Kelima). Jakarta: Erlangga.
Kasmir. (2012). Analisis Laporan Keuangan. Jakarta: PT. Raja Grafindo Persada.
Darmadji, T., & Fakhruddin. (2012). Pasar Modal Di Indonesia. (Edisi Ketiga). Jakarta: Salemba Empat.
Darsono, & Ashari. (2005). Pedoman Praktis Memahami Laporan Keuangan. Yogyakarta: ANDI.
Fahmi, I. (2013). Analisis Laporan Keuangan. Bandung: Alfabeta.
Gitosudarmo, I. (2000). Manajemen Keuangan. Yogyakarta: BPFE.
Hanafi, M., Mamduh, & Halim, A. (2009). Analisis Laporan Keuangan. Yogyakarta: UPP STIM YPKP.
Hery. (2012). Analisis Laporan Keuangan. Jakarta: Bumi Aksara.
Jogiyanto. (2003). Teori Portofolio dan Analisis Investasi. (Edisi Ketiga). Yogyakarta: BPFE-Yogyakarta.
Samryn, L. M. (2011). Pengantar Akuntansi. (Edisi Pertama). Jakarta: Raja Grafindo Persada.
Santoso. (2005). Metodologi Penelitian Kuantitatif dan Kualitatif. Jakarta: Prestasi Pustaka.
Downloads
Published
How to Cite
Issue
Section
License
Copyright (c) 2024 CEMERLANG : Jurnal Manajemen dan Ekonomi Bisnis
This work is licensed under a Creative Commons Attribution-ShareAlike 4.0 International License.