Risk Based bank rating and financial performance of Indonesian commercial banks with GCG as intervening variable

A Nurwulandari, H Hasanudin… - Cogent Economics & …, 2022 - Taylor & Francis
This study aims to analyze the effect of the financial health of Indonesian commercial banks
on financial performance with good corporate governance as an intervening variable. This …

Impact of the quality of credit risk management practices on financial performance of commercial banks in Tanzania

GI Temba, PS Kasoga, CM Keregero - SN Business & Economics, 2024 - Springer
Commercial banks' roles in economic development make it paramount for their sustainable
financial performance, hence a need for effective credit risk management as credits are the …

Kinerja keuangan perusahaan asuransi jiwa konvensional di Indonesia periode 2015-2018

E Siswanto, RM Hasanah - Jurnal Ekonomi Modernisasi, 2019 - ejournal.unikama.ac.id
Jurnal Ekonomi Modernisasi Page 1 43 Kinerja Keuangan Perusahaan Asuransi Jiwa
Konvensional di Indonesia Periode 2015-2018 Ely Siswanto*1, Raudhotul Miul Hasanah2 …

Banking industry sustainable growth rate under risk: Empirical study of the banking industry in ASEAN countries

Isnurhadi, Sulastri, Y Saftiana, F Jie - Sustainability, 2022 - mdpi.com
This research examines how the banking industry maintains its sustainable growth rate. The
sample consists of 328 commercial banks in the ASEAN area. A fixed effect model is …

Bank competition, regulatory capital, and risk taking: international evidence

H Abou-El-Sood, R Shahin - Managerial Finance, 2023 - emerald.com
Bank competition, regulatory capital, and risk taking: international evidence | Emerald Insight
Books and journals Case studies Expert Briefings Open Access Publish with us Advanced …

[HTML][HTML] Funding liquidity in Islamic banks: Does the Shariah supervisory board's higher educational attainment matter?

M Safiullah - Pacific-Basin Finance Journal, 2023 - Elsevier
This study investigates whether higher educational attainment (ie, doctorate degrees) of
Shariah supervisory board (SSB) members is relevant to funding liquidity in Islamic banks …

Do board characteristics moderate capital adequacy regulation and bank risk-taking nexus in Sub-Saharan Africa?

S Asiamah, KO Appiah… - Asian Journal of …, 2024 - emerald.com
Purpose The purpose of this paper is to examine whether board characteristics moderate
the relationship between capital adequacy regulation and bank risk-taking of universal …

Blockholder ownership and corporate cash holdings: evidence from European firms

AA Alomran - International Journal of Managerial Finance, 2024 - emerald.com
Purpose This study aims to investigate the impact of ownership by large shareholders
(blockholders) on corporate cash holdings. The study further investigates heterogeneity in …

The effect of political risk and corporate governance on bank stability in the MENA region: Did the Arab Spring uprisings matter?

A Diab, M Marie, A Elgharbawy… - Cogent Business & …, 2023 - Taylor & Francis
This study examines the impact of political risk and corporate governance mechanisms
(CGM) on bank stability. The research problem was addressed using a sample of 954 bank …

The Effect Of Non-Performing Loans And Loan Deposit Ratios On Stock Returns Is Mediated By A Profitability Study On Commercial Banks Listed On The Indonesia …

Y Iskandar, S Suharyanto, A Zaki… - Jurnal Aplikasi …, 2023 - jurnaljam.ub.ac.id
Stock return is an indicator of banking performance in Indonesia. This study aims to
empirically test non-performing loans and loan deposit ratios on stock returns mediated by …