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IT Investment and Financial Performance Volatility : The Moderating Role of Industry Environment and IT Strategy Emphasis

첫 페이지 보기
  • 발행기관
    한국경영정보학회 바로가기
  • 간행물
    Asia Pacific Journal of Information Systems KCI 등재 SCOPUS 바로가기
  • 통권
    제32권 제4호 (2022.12)바로가기
  • 페이지
    pp.707-727
  • 저자
    Wahyu Agus Winarno, Slamin
  • 언어
    영어(ENG)
  • URL
    https://www.earticle.net/Article/A423714

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원문정보

초록

영어
Industrial revolution 4.0 makes business competition more challenging and will impact the instability of the company’s financial performance. Dynamic environmental conditions make it difficult for companies to make predictions in making decisions. Investing in information technology (IT) is one way for companies to maintain financial stability and competitive advantage in dynamic competition. Resource-Based Theory (RBT) explains that information technology (IT) is a resource that can create a competitive advantage for the company. This study aims to examine the moderating role of dynamic industrial environments and IT strategic emphasis on the relationship between a lag effect of IT investment and firm’s financial performance volatility. Using the data of companies listed on the Indonesia Stock Exchange (IDX) for five years starting from 2013–2017, the method used to estimate the research model’s parameters is the generalized method of moments (GMM) approach. The results show that the industrial environment and the emphasis on IT strategy have a role in moderating and strengthening the relationship between the time lag in IT investment in reducing the firm’s financial performance volatility.

목차

ABSTRACT
Ⅰ. Introduction
Ⅱ. Literature Review
2.1. Resource-Based Theory, IT Investment, and Productivity Paradox
2.2. Firm Financial Performance and Volatility
2.3. Contingency-based Research
Ⅲ. Hypothesis Development
3.1. IT Investment and Financial Performance Volatility
3.2. Moderating Role of Industry Environment and IT Strategy Emphasis on the Influence of IT Investment and Financial Performance Volatility
Ⅳ. Research Methodology
4.1. Data and Samples
4.2. Variables and Measurement
4.3. Model Specification
Ⅴ. Empirical Results and Discussion
5.1. Sample Characteristics
5.2. Discussion
Ⅵ. Conclusions, Limitations, and Suggestions
6.1. Conclusions
6.2. Limitations
6.3. Suggestions
Acknowledgements

키워드

IT Investment Firm’s Financial Performance Volatility Dynamic Industrial Environment IT Strategic Emphasis Generalized Method of Moments

저자

  • Wahyu Agus Winarno [ Assistant Professor, Accounting Department, University of Jember, Indonesia ] Corresponding Author
  • Slamin [ Professor, Faculty of Computer Science, University of Jember, Indonesia ]

참고문헌

자료제공 : 네이버학술정보

간행물 정보

발행기관

  • 발행기관명
    한국경영정보학회 [The Korea Society of Management information Systems]
  • 설립연도
    1989
  • 분야
    사회과학>경영학
  • 소개
    이 학회는 경영정보학의 연구 및 교류를 촉진하고 학문의 발전과 응용에 공헌함을 목적으로 합니다.

간행물

  • 간행물명
    Asia Pacific Journal of Information Systems
  • 간기
    계간
  • pISSN
    2288-5404
  • eISSN
    2288-6818
  • 수록기간
    1990~2026
  • 등재여부
    KCI 등재,SCOPUS
  • 십진분류
    KDC 325 DDC 658

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