Evolving Sovereign Wealth Fund under Infrastructure Funding Scarcity: A Literature Study

Aris Wahyu Raharjo, S. Wiryono, R. A. Rahadi
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引用次数: 1

Abstract

Objective – There are three primary focuses of this study, namely: to understand past literature on sovereign wealth fund (SWF) pattern of development, the impact of SWF investment on target firm financial performance, and how SWF fosters infrastructure development in Indonesia Methodology/Technique – The methodologies of this study are descriptive and structured systematic reviews. Six dimensions were the focus of this literature review which are the basis for sorting and grouping the 1683 publication journals. Those six dimensions are SWF characteristics, SWF target firm characteristics, country characteristics, deal characteristics, research methods, and level of analysis Findings –The SWF objectives and pattern of development in a country depending on the country-specific conditions which could evolve over time. There have been many past types of research on SWF development in different countries. Past research provided differing outcomes in various aspects of SWF development from one country to the others. In the case of Indonesia, INA is expected to provide global capital access in filling in the funding gap for Indonesia's infrastructure development. For that reason, this research is seeing an urgency to observe how Indonesia SWF manages its investment portfolio in unique infrastructure development and its impact on the national economic growth. Furthermore, past research findings described that the impact of institutional investors such as SWF on firm performance is still unclear. Many questions concerning the financial aspects of SWF’s activities still remain relatively unanswered. The outcomes of this literature review provide multiple bases for future research with a mixed case study method. Novelty – This research observes and compares various SWF patterns of development in different countries (multiple cases). Indonesia’s SWF wealth fund was a newly established government agency and has not been widely explored in past research. How the government of Indonesia overcomes funding scarcity for infrastructure development provides a unique experience. Type of Paper: Empirical JEL Classification: F30, M20. Keywords: Indonesia Sovereign Wealth Fund; Firm Value; Infrastructure Development; Structured Literature Review Reference to this paper should be made as follows: Raharjo, A.W; Wiryono, S.K; Rahadi, R.A. (2022). Evolving Sovereign Wealth Fund under Infrastructure Funding Scarcity: A Literature Study, J. Bus. Econ. Review, 7(1), 75–91. https://doi.org/10.35609/jber.2022.7.1(3)
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基础设施资金短缺下主权财富基金的演变:文献研究
目标-本研究有三个主要重点,即:了解过去关于主权财富基金(SWF)发展模式的文献,主权财富基金投资对目标公司财务绩效的影响,以及主权财富基金如何促进印度尼西亚的基础设施发展。方法/技术-本研究的方法是描述性和结构化的系统综述。六个维度是本文献综述的重点,这是对1683种出版期刊进行分类和分组的基础。这六个维度是主权财富基金特征、主权财富基金目标公司特征、国家特征、交易特征、研究方法和分析水平。研究发现——主权财富基金的目标和一国的发展模式取决于一国的具体情况,这些情况可能会随着时间的推移而变化。关于主权财富基金在不同国家的发展,过去有很多类型的研究。过去的研究在不同国家主权财富基金发展的各个方面得出了不同的结果。以印尼为例,国际投资银行预计将提供全球资本渠道,以填补印尼基础设施发展的资金缺口。因此,本研究迫切需要观察印尼主权财富基金如何在独特的基础设施发展中管理其投资组合及其对国家经济增长的影响。此外,过去的研究结果表明,主权财富基金等机构投资者对公司绩效的影响尚不清楚。有关主权财富基金活动的财务方面的许多问题仍然相对没有答案。本文的研究结果为今后采用混合个案研究方法进行研究提供了多种依据。新颖性——本研究观察并比较了不同国家主权财富基金的发展模式(多个案例)。印尼的主权财富基金是一个新成立的政府机构,在过去的研究中没有得到广泛的探讨。印尼政府如何克服基础设施发展的资金短缺提供了一个独特的经验。论文类型:EmpiricalJEL分类:F30, M20。关键词:印尼主权财富基金;公司价值;基础设施建设;结构化文献综述本文的参考文献如下:Raharjo, A.W;Wiryono S.K;Rahadi, R.A.(2022)。基础设施融资稀缺下主权财富基金的演进:文献研究[j]。经济学。评论,7(1),75-91。https://doi.org/10.35609/jber.2022.7.1 (3)
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