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Analisis Faktor yang Memengaruhi Manajemen Risiko Reputasi dan Pengaruhnya Terhadap Nilai Perusahaan Perbankan Go Public Negara ASEAN Tahun 2010-2019
This study discussed about reputation risk management of banking firms listed in South East Asian countries? emerging markets. Publicly listed bank companies in Indonesia, Philippines, Malaysia, Singapore, and Thailand from Year 2010-2019 were selected, as each country has at least one bank that made it to top 15 biggest bank in South East Asia based on total assets in 2019, before COVID-19 virus spread with total of 57 banks. This study data was acquired from Thomson Reuters and content analysis for each annual report available. Study analyze the determinants that affect firm?s decision on implementing reputation risk management with independent variables are as firm size, leverage, return on asset, Big Four auditor, risk awareness, and reputation awareness to dependent dummy variable for reputation risk management (RRM). Then, we examine the value of RRM to firm?s value with Tobin?s Q as the proxy. This study showed that with increasing value of firm size and reputation awareness, they increase the probability of firms to implement RRM. Whereas each increase in leverage and risk awareness, they decrease the probability of firms to implement RRM. RRM implementation also showed a positive sign to firm?s value although not statistically significant. The univariate analysis showed a support to the regression output with firms that implement RRM have higher firm?s value than those who don?t.Ada Tabel
Call Number | Location | Available |
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12564 | PSB lt.2 - Karya Akhir | 1 |
Penerbit | Depok Program Studi Manajemen Fakultas Ekonomi dan Bisnis Universitas Indonesia., 2020 |
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Edisi | - |
Subjek | Risk management Corporate reputation Firm?s Value Reputational Risk |
ISBN/ISSN | - |
Klasifikasi | - |
Deskripsi Fisik | xviii, 147 p. ; diagr. ; 30 cm |
Info Detail Spesifik | - |
Other Version/Related | Tidak tersedia versi lain |
Lampiran Berkas | Tidak Ada Data |