1.9k total citations 34 papers, 1.2k citations indexed
About
Suad Husnan is a scholar working on Accounting, Strategy and Management and Economics and Econometrics.
According to data from OpenAlex, Suad Husnan has authored 34 papers receiving a total of 1.2k indexed citations (citations by other indexed papers that have themselves been cited), including 25 papers in Accounting, 11 papers in Strategy and Management and 10 papers in Economics and Econometrics. Recurrent topics in Suad Husnan's work include Financial Analysis and Corporate Governance (19 papers), Economic Growth and Fiscal Policies (9 papers) and Management and Optimization Techniques (7 papers). Suad Husnan is often cited by papers focused on Financial Analysis and Corporate Governance (19 papers), Economic Growth and Fiscal Policies (9 papers) and Management and Optimization Techniques (7 papers). Suad Husnan collaborates with scholars based in Indonesia. Suad Husnan's co-authors include Mamduh M. Hanafi, Suwarsono Suwarsono, Eduardus Tandelilin and R. Agus Sartono and has published in prestigious journals such as SHILAP Revista de lepidopterología, International Journal of Business and Globalisation and Journal of Indonesian Economy and Business.
Citations per year, relative to Suad Husnan Suad Husnan (= 1×)
peers
Farah Margaretha
Countries citing papers authored by Suad Husnan
Since
Specialization
Citations
This map shows the geographic impact of Suad Husnan's research. It shows the number of citations coming from papers published by authors working in each country. You can also color the map by specialization and compare the number of citations received by Suad Husnan with the expected number of citations based on a country's size and research output (numbers larger than one mean the country cites Suad Husnan more than expected).
This network shows the impact of papers produced by Suad Husnan. Nodes represent research fields, and links connect fields that are likely to share authors. Colored nodes show fields that tend to cite the papers produced by Suad Husnan. The network helps show where Suad Husnan may publish in the future.
Co-authorship network of co-authors of Suad Husnan
This figure shows the co-authorship network connecting the top 25 collaborators of Suad Husnan.
A scholar is included among the top collaborators of Suad Husnan based on the total number of
citations received by their joint publications. Widths of edges
represent the number of papers authors have co-authored together.
Node borders
signify the number of papers an author published with Suad Husnan. Suad Husnan is excluded from
the visualization to improve readability, since they are connected to all nodes in the network.
Tandelilin, Eduardus, et al.. (2012). DETERMINANTS OF BANK PROFIT EFFICIENCY: EVIDENCE FROM INDONESIA. International Journal of Economics and Finance. 4(2). 163–173.22 indexed citations
8.
Tandelilin, Eduardus, et al.. (2012). BANK RISK AND MARKET DISCIPLINE. Journal of Indonesian Economy and Business. 27(3). 303–314.2 indexed citations
9.
Husnan, Suad, et al.. (2012). Fenomena Underpricing Dan kinerja jangka panjang pada saat IPO : Pengujian Informasi Asimetri.1 indexed citations
10.
Husnan, Suad, et al.. (2009). Dividend surprise asimetri informasi controlling shareholder dan reaksi pasar.1 indexed citations
11.
Husnan, Suad, et al.. (2009). Pengaruh perubahan rating obligasi terhadap market model.1 indexed citations
Husnan, Suad, et al.. (2006). Dasar-dasar manajemen keuangan. Andalas University Repository (Andalas University).380 indexed citations
14.
Husnan, Suad. (2001). Dasar-dasar Teori Portofolio dan analisis sekuritas. Andalas University Repository (Andalas University).457 indexed citations
15.
Husnan, Suad. (1998). Pengujian CAPM Di BEJ Periode 1994-1997: Standard CAPM ataukah Zero Beta?. Journal of Indonesian Economy and Business. 13(4). 89–97.
16.
Husnan, Suad. (1998). Manajemen Keuangan Teori dan Penerapan (keputusan jangka pendek) Buku 2. Andalas University Repository (Andalas University).37 indexed citations
Husnan, Suad. (1994). ANALISIS SEKURITAS DI PASAR MODAL KECIL: PENGAMATAN DI BURSA EFEK JAKARTA. Journal of Indonesian Economy and Business. 9(1). 3–9.1 indexed citations
19.
Husnan, Suad. (1993). Dasar-dasar teori portofolio dan analisis sekuritas / Suad Husnan. Koleksi Buku UPT Perpustakaan Universitas Negeri Malang. 1993(1993). 1–99.4 indexed citations
20.
Husnan, Suad. (1993). DASAR-DASAR TEORI PORTOFOLIO.12 indexed citations
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