ANALISIS MANAJEMEN RISIKO PADA BANK KONVENSIONAL DAN BANK SYARIAH DI INDONESIA (Perbankan Indonesia Periode 2013-2017)

Main Authors: Pertiwi, Nada Inggit, Saiful, Saiful
Format: Thesis NonPeerReviewed Archive
Bahasa: eng
Terbitan: , 2019
Subjects:
Online Access: http://repository.unib.ac.id/19630/1/skripsinadafix-dikonversi.pdf
http://repository.unib.ac.id/19630/
Daftar Isi:
  • This study aims to obtain empirical evidence about the analysis of liquidity risk in conventional banks and Islamic banks. The sample in this study is a conventional banking company listed on the Indonesia Stock Exchange and Islamic banking at Bank Indonesia for the period 2013-2017. The data used in this study were the secondary data and followed by the use of purposive sampling method. There were 40 samples with 200 observations which fulfilled the criteria to be the study sample. The analysis method in this study uses weighted least square (WLS) analysis. The results of this study indicate that the variable loan quality has affect on liquidity risk management. While funding management and asset quality has not affect liquidity risk management.