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Pengaruh Diversifikasi Pendapatan Terhadap Risiko Bank Komersial di Negara ASEAN-6 Periode 2010-2019

Nataya, Puti Larisha Dyra - ; Wardatul Adawiyah, S.E, M.B.A. (Pembimbing/Promotor) - ;

This study aims to analyze the effect of income diversification on the risk of commercial banks registered in ASEAN-6 countries for the 2010-2019 period. The data in this study were obtained from Thomson Reuters Refinitv Eikon, the Worldbank Database, and the Heritage Foundation. The test was conducted on 81 registered banks in ASEAN-6 countries for 10 years with a total of 810 observations obtained from probability sampling technique. The results of the study using panel balance data and the GMM system method found that there was no significant effect between income diversification and bank risk. In addition, there is no effect of non-interest income on risk. This study shows that as there is no effect of income diversification on risk, banks can diversify as the alternative to get additional income.Ada Tabel


Ketersediaan

Call NumberLocationAvailable
13755PSB lt.2 - Karya Akhir1
PenerbitDepok: Program Studi Manajemen Fakultas Ekonomi dan Bisnis UI 2022
Edisi-
SubjekBank risk
Income diversification
Commercial Bank
ISBN/ISSN-
Klasifikasi-
Deskripsi Fisikxvi, 92 p. ; diagr. ; 30 cm
Info Detail Spesifik-
Other Version/RelatedTidak tersedia versi lain
Lampiran BerkasTidak Ada Data

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