Jurnal Akuntansi Keuangan dan Bisnis
Vol 16 No 2 (2023): Jurnal AKuntansi Keuangan dan Bisnis

Financial Risk, Corporate Governance, And Financial Performance: An Empirical Study On Bank Indonesia

Marselino Wau (Unknown)
Jhon Firman Fau (Unknown)
Kristiurman Jaya Mendrofa (Unknown)
Zaitul (Unknown)



Article Info

Publish Date
30 Nov 2023

Abstract

This study explores the interplay of financial risk and corporate governance on Bank Indonesia's performance. Data from 19 Exchange-listed Indonesian banks' 2020-2022 reports were analyzed via variable and PLS-SEM methods. Credit risk impact was found minor, while market risk significantly influenced performance. Managerial ownership positively affected, while public ownership had substantial impact. Thus, governance disclosure affects bank performance. Managing market risks and enhancing ownership practices is crucial. Findings suggest revising credit risk assessment for indirect performance betterment. Improving governance and addressing market risk can elevate banking performance. Insights guide the sector in enhancing performance determinants, informed by this study. Keywords: Financial Risk, Corporate Governance, and Financial Performance.

Copyrights © 2023






Journal Info

Abbrev

jakb

Publisher

Subject

Economics, Econometrics & Finance Social Sciences

Description

Jurnal Akuntansi Keuangan dan Bisnis (JAKB), with registered number ISSN 2476-9460 (Online) and ISSN 2085-0751 (Print) is a multidisciplinary scientific journal published by Politeknik Caltex Riau. JAKB provides a specialized forum for the publication of research in the area of financial economics ...