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 …
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 …
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 …
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
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 …
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 …
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 …
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 …
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 …
(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?
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 …
(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 …
empirically test non-performing loans and loan deposit ratios on stock returns mediated by …