Jurnal Keuangan dan Perbankan(KEBAN)
Vol. 1 No. 1 (2021): Juli-Desember

Management of Risk Management on Banking Financial Performance

Rahma Dewi, Wulan (Unknown)



Article Info

Publish Date
04 Nov 2021

Abstract

Risk management is very important for companies. The purpose of this study is to examine and analyze the impact of credit risk, market risk, operating efficiency, capital, and liquidity on bank financial performance. This research uses a quantitative research design. The data used in this study is based on private banks listed on the Indonesia Stock Exchange (IDX) for the next three years. The type of data is secondary data. Technical analysis using multiple linear regression. The results show that market risk and operating efficiency have a significant effect on the financial performance of the bank. Meanwhile, credit risk, capital, and liquidity have no significant effect on the bank's financial performance

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Journal Info

Abbrev

JKK

Publisher

Subject

Economics, Econometrics & Finance

Description

Fokus dan Lingkup Jurnal ini mencakup ilmu disiplin keuangan dan perbankan (syariah dan konvensional) dari segala bidang yang membahasnya, diantara lain; Sistem Pembayaran,Hukum Keuangan dan Perbankan;Akuntansi dan Pelaporan Keuangan; Investasi Alternatif; penilaian aset; Perilaku Keuangan; keuangan ...