The Implementation of Banking Risk Management in Southeast Asian Countries

J Safitri, I Geraldina - Performance: Jurnal Personalia, Financial …, 2023 - jos.unsoed.ac.id
The purpose of this study is to empirically examine the impact of credit risk, liquidity risk and
interest rate on the performance of banks through capital adequacy. Banking companies in …

The Role of Interest Rate in Moderating The Effect of Financial Risk On Financial Performance in Indonesia Banks List on The BEI

M Mulyati, S Widhiastuti - Fokus Bisnis …, 2024 - jurnal.universitasputrabangsa.ac.id
In this study, the effects of financial risk as measured by the Capital Adequacy Ratio (CAR),
Non-Performing Loan (NPL), Operating Costs on Operating Income (BOPO), Loan to …

[PDF][PDF] BANKS'PERFORMANCE AND THE CONTRADICTING ROLE OF SYSTEMATIC RISK DRIVERS-ASSESSMENT ACROSS COMMERCIAL BANKS

银行的绩效和系统性风险驱动因素的矛盾作用… - 西南交通大学 …, 2022 - academia.edu
The Jordanian banking sector is vulnerable to many macrofactors that impact its
performance, and due to the prominence importance of preserving the banking sector …

[引用][C] Does Good Corporate Governance Mediate Risk Management Implementation and Financial Performance of Indonesian Commercial Banks?

AR Haryetti Haryetti - Journal of Southwest Jiaotong University, 2021

[引用][C] BANKS'PERFORMANCE AND THE CONTRADICTING ROLE OF SYSTEMATIC RISK DRIVERS-ASSESSMENT ACROSS COMMERCIAL BANKS

TA Kaddumi, HH Aldboush, YS Alhaj-Yaseen - Journal of Southwest Jiaotong …, 2022