AFRE Accounting Financial Review
Vol 4, No 2 (2021): December

Risk Management Practices and Financial Performance: The Case of Banks in Sultanate of Oman

Essia Ries Ahmed (University of Nizwa)
Shima Hamdan AL Mamar (University of Nizwa)
Ahad Said AL Ghassani (University of Nizwa)



Article Info

Publish Date
20 Dec 2021

Abstract

The main objective of this project is to define the relationship between risk management practices and a bank's financial performance. This is a quantitative study, where the quantitative data was collected via secondary data. Data collection from the annual reports of banks in Muscat Securities Market (MSM).The Sample size of 8 banks. In this research, data collected is analyzed using Structural Equation Modelling (SEM) with Partial Least Square PLS Software. The findings revealed that risk management is positively meaningful while avoiding risk.The findings pointed that the risk management has significant with a ROA. This result indicates that management has a significant influence on banks performance (ROA). As well as, the findings found that the risk management insignificant with a (ROE) 

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Journal Info

Abbrev

afr

Publisher

Subject

Economics, Econometrics & Finance

Description

Accounting and Financial Review (AFRe), is a publication of Graduate School Program, University of Merdeka Malang. The journal is an article published continuously which is intended not only as a place to share ideas, study, and analysis but also as an information channel to improve and develop ...