EkoBis ( Ekonomi & Bisnis )
Vol 21, No 2 (2020): JURNAL EKONOMI DAN BISNIS

DETEKSI RISIKO SISTEMIK DAN KETERKAITAN KEUANGAN: STUDI PADA INSTITUSI KEUANGAN DI INDONESIA

Rihana Sofie Nabella (Brawijaya University)
Setyo Tri Wahyudi (University of Brawijaya)
Dewani Indah Tawakalni (University of Brawijaya)



Article Info

Publish Date
21 Jul 2020

Abstract

The purpose of this study is to measure systemic risk and financial linkages in financial institutions in Indonesia. The financial sector plays a vital role in the economy. On the other hand, this sector is also vulnerable to crises or risks, one of which is systemic risk. This study uses a sample 20 financial institutions from January 2012 to December 2018 with the Conditional Value at Risk (CoVaR) model. The results obtained show that the size of an institution does not determine the amount of systemic risk contribution. Based on the average systemic risk contribution obtained that insurance companies become the largest contributor to systemic risk.

Copyrights © 2020






Journal Info

Abbrev

ekobis

Publisher

Subject

Economics, Econometrics & Finance

Description

Jurnal Ekonomi dan Bisnis (EKOBIS) is published by the Department of Management, Faculty of Economics, Sultan Agung Islamic University (Unissula) on a regular basis (every six months). The purpose of this journal is to publish the results of research in the field of management which includes: - ...