Penerapan risk management dan corporate governance terhadap profitabilitas perbankan di Indonesia (studi empiris pada Bursa Efek Indonesia tahun 2017-2019)

Jeslyn, Jeslyn (2022) Penerapan risk management dan corporate governance terhadap profitabilitas perbankan di Indonesia (studi empiris pada Bursa Efek Indonesia tahun 2017-2019). Bachelor thesis, Universitas Pelita Harapan.

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Abstract

Dewasa ini, perusahaan saling berlomba untuk menjadi perusahaan yang terbaik untuk bisa mendapatkan kepercayaan masyarakat terlebih lagi perusahaan perbankan. Dimana untuk menghimpun dana masyarakat, perusahaan harus bisa memperoleh kepercayaan dari nasabahnya. Sebagai meningkatkan kualitas perusahaan dan mendapatkan kepercayaan masyarakat dapat diterapkan risk management dan good corporate governance. Penelitian ini bertujuan untuk menguji apakah risk management dan good corporate governance berpengaruh terhadap kinerja keuangan pada perusahaan perbankan yang terdaftar pada Bursa Efek Indonesia pada periode 2017-2022. Variabel independen pada penelitian ini adalah risiko kredit, risiko likuiditas, komite audit, ukuran dewan direksi, dan komite manajemen risiko. Variabel dependen pada penelitian ini adalah kinerja keuangan yang diukur menggunakan profitabilitas return on assets. Pengolahan data diperoleh dari data sekunder yang dirilis oleh masing-masing perusahaan. Teknik analisis data berupa metode analisis linear berganda. Hasil penelitian menunjukkan bahwa penerapan risk management dan good corporate governance secara simultan berpengaruh terhadap kinerja keuangan perusahaan./Today, companies are competing with each other to be the best company in order to gain public trust, especially banking companies. Where to collect public funds, companies must be able to gain the trust of their customers. To improve the quality of the company and gain public trust, risk management and good corporate governance can be implemented. This study aims to test whether risk management and good corporate governance affect the financial performance of banking companies listed on Indonesia Stock Exchange in the 2017-2022 period. The independent variables in this study were, credit risk, liquidity risk, audit committee, board size, risk management committee. The dependent variable in this study is financial performance as measured using the return of assets profitability. Data processing is obtained from secondary data released by each company. The data analysis technique is in the form of multiple linear analysis methods. The results of the study show that the application of risk management and good corporate governance simultaneously influence the company’s financial performance.

Item Type: Thesis (Bachelor)
Creators:
CreatorsNIMEmail
Jeslyn, JeslynNIM01012190040jeslyn8778@gmail.com
Contributors:
ContributionContributorsNIDN/NIDKEmail
Thesis advisorSormin, PartogianNIDM0303085901partogian.sormin@uph.edu
Uncontrolled Keywords: risk management; good corporate governance; kinerja keuangan
Subjects: H Social Sciences > HF Commerce > HF5601 Accounting
Divisions: University Subject > Current > Faculty/School - UPH Karawaci > Business School > Accounting
Current > Faculty/School - UPH Karawaci > Business School > Accounting
Depositing User: Jeslyn Jeslyn
Date Deposited: 10 Jan 2023 09:00
Last Modified: 10 Jan 2023 09:00
URI: http://repository.uph.edu/id/eprint/52307

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