BanKu: Jurnal Perbankan dan Keuangan
Vol 5, No 1 (2024): Volume 5, Nomor 1, Februari 2024

Perbandingan Kinerja Keuangan Menggunakan Risiko Pasar pada PT PAN Indonesia Bank Sebelum dan Selama Covid-19 Periode 2017-2022

Joestantika, Bernadeth Lintang (Unknown)
Kusmargiani, Ida Savitri (Unknown)
Muslikh, Moh. (Unknown)



Article Info

Publish Date
28 Jun 2024

Abstract

This research aims at determining the difference in the results of market risk assessments at PT Pan Indonesia Bank Before and During Covid-19 Period 2017-2022. The data used in this research are secondary data obtained from the Financial Statements of PT Pan Indonesia Bank. The data analysis method used is Inherent Risk Assessment of Market Risk in accordance with SEBI No.13/24/DPNP and SEOJK No.14/SEOJK.03/2017. The results in this research show that there are differences in the acquisition of market risk of PT Pan Indonesia Bank Before and During Covid-19. Market risk rating before Covid-19 (2017-2019) is rating 1 (Low) in 2017 then increased to a rating of 2 (Low to Moderate) in 2018 and fell again in 2019 to a rating of 1 (Low). Meanwhile, During Covid-19 (2020-2022) bank's market risk stabilized with a rating of 1 (Low).

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Journal Info

Abbrev

banku

Publisher

Subject

Humanities Economics, Econometrics & Finance Social Sciences

Description

BanKu: Jurnal Perbankan dan Keuangan (P-ISSN: 2723-4347, E-ISSN: 2723-4355 merupakan peer-reviewed journal yang mempublikasikan artikel-artikel ilmiah yang merupakan hasil penelitian ilmiah dengan fokus dari hasil penelitian dan scope bidang kajian perbankan dan keuangan dari berbagai kalangan ...