Pengaruh enterprise risk management, corporate governance dan kinerja bank terhadap peringkat obligasi (studi empiris: industri perbankan Indonesia periode 2008-2012)

Pattinama, Frislandno Z. Charmy (2014) Pengaruh enterprise risk management, corporate governance dan kinerja bank terhadap peringkat obligasi (studi empiris: industri perbankan Indonesia periode 2008-2012). Masters thesis, Universtitas Pelita Harapan.

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Abstract

Salah satu cara perbankan untuk memperoleh sumber pendanaan dalam menjalankan aktivitasnya adalah melalui obligasi. Setiap bank yang menerbitkan obligasi memiliki kewajiban untuk mendaftarkan obligasi yang dimilikinya kepada lembaga pemeringkat obligasi. Di Indonesia, salah satu lembaga pemeringkat yang rutin mengeluarkan obligasi adalah PT Pefindo. Dalam menjalankan aktivitasnya, bank perlu memperhatikan manajemen risiko (ERM), corporate governance dan kinerja. Penelitian ini bertujuan untuk menguji pengaruh ERM, corporate governance dan kinerja bank terhadap peringkat obligasi. Metode pengumpulan data dalam penelitian ini menggunakan data sekunder, yaitu berupa laporan keuangan yang diperoleh dari depositori bank Indonesia periode 2008-2012. Populasi dalam penelitian ini berjumlah 40 Bank dan sampel yang digunakan adalah 17 bank yang rutin menerbitkan obligasi pada tahun 2008-2012. Dalam penelitian ini menggunakan rasio non performing loan (NPL), interest expense ratio (IER), komite audit (KA), komisaris independen (KI), capital adequacy ratio (CAR), return on asset (ROA) sebagai variabel independen dan logaritma natural dari total aset (LOGTA) sebagai variabel kontrol. Variabel dependen yang digunakan adalah variabel yang berskala ordinal, yaitu peringkat obligasi yang dikeluarkan oleh PT. Pefindo. Pengolahan data dilakukan dengan regrsei multilogistik ordered probit dengan QML (Hubber/White) Standar Error & Covariance pada eviews 7.1. Hasil penelitian menunjukkan bahwa IER dan KA berpengaruh signifikan terhadap peringkat obligasi pada tingkat signifikansi 1%. IER dan CAR berpengaruh signfikan terhadap peringkat obligasi pada tingkat signfikansi 5%. Sedangkan ROA dan KI tidak terbukti dapat berpenagruh secara signifikan. Variabel LOGTA yang digunakan sebagai variabel kontrol bernilai positif dan signifikan / One way to acquire bank funding sources in carrying out its business is through bonds. Every bank that issued the bonds has an obligation to register to the bond rating agencies. In Indonesia, one of the agencies that regularly issues bonds is PT PEFINDO. While working on its activities, the banks need to pay attention to risk management (ERM), corporate governance and performance. This study aimed to examine the effect of ERM, corporate governance and the performance of banks against bond rating. Methods of data collection in this study are using secondary data, in the form of financial statements obtained from depository banks of Indonesia from 2008-2012. The population in this study amounted to 40 banks and the samples used were 17 banks that regularly issue bonds in 2008-2012. This study used Non-Performing loan (NPL), Interest expense ratio (IER), Audit Committee (KA), Independent commissioner (KI), Capital Adequacy Ratio (CAR), and Return on Assets (ROA) as the independent variable ratios and the natural logarithm of total assets (LOGTA) as a control variable. The dependent variable used is the ordinal scale variables, namely bond rating issued by PT PEFINDO. Data processing is done by multi-logistic regression ordered probit with QML (Huber/ White) Standard Error and Covariance using eviews 7.1. The results showed that LOGTA variables used as control variable has positive and significant effect on bond rating; IER and KA has significant effect on bond ratings at 1 % significance level. IER and CAR exhibited significantly affect the bond ratings on 5 % level significant, whereas, ROA and KI have insignificant effect on bond ratings

Item Type: Thesis (Masters)
Creators:
CreatorsNIMEmail
Pattinama, Frislandno Z. CharmyNIM90120120008UNSPECIFIED
Contributors:
ContributionContributorsNIDN/NIDKEmail
Thesis advisorMarciano, DeddyUNSPECIFIEDUNSPECIFIED
Thesis advisorMahadwartha, Putu AnomUNSPECIFIEDUNSPECIFIED
Uncontrolled Keywords: non performing loan (NPL); interest expense ratio (IER); komite audit (KA); komisaris independen (KI); capital adequacy ratio (CAR); return on asset (ROA) dan logaritma natural dari total aset (LOGTA); Non-Performing loan (NPL), interest expense ratio (IER); audit committee (KA); independent commissioner (KI); capital adequacy ratio (CAR); return on assets (ROA); logarithm of total assets (LOGTA)
Subjects: H Social Sciences > HD Industries. Land use. Labor > HD28 Management. Industrial Management
Divisions: University Subject > Current > Faculty/School - UPH Surabaya > Business School > Master of Management
Current > Faculty/School - UPH Surabaya > Business School > Master of Management
Depositing User: Rafael Rudy
Date Deposited: 08 Nov 2022 04:25
Last Modified: 08 Nov 2022 04:25
URI: http://repository.uph.edu/id/eprint/51037

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