Full Description

Cataloguing Source LibUI ind rda
Content Type text (rdacontent)
Media Type computer (rdamedia)
Carrier Type online resource (rdacarrier)
Physical Description xvi, 69 pages : illustration + appendix
Concise Text
Holding Institution Universitas Indonesia
Location Perpustakaan UI
 
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  •  Digital Files: 1
  •  Review
  •  Cover
  •  Abstract
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S-pdf 14-23-84281677 TERSEDIA
No review available for this collection: 20519370
 Abstract
Studi ini bertujuan untuk meneliti pengaruh dari diversifikasi pendapatan yang dilakukan oleh bank terhadap profitabilitas dan risiko bank-bank yang ada di negara ASEAN-5 selama berlangsungnya pandemi covid-19. Sampel terdiri dari 86 bank publik yang tercatat di Bursa Efek Indonesia (BEI), Bursa Efek Singapura (SGX), Bursa Malaysia (MYX), Bursa Saham Filipina (PSE), dan Bursa Efek Thailand (SET). Metode penelitian menggunakan regresi panel dengan metode estimasi fixed-effect model. Penelitian ini menemukan bahwa diversifikasi pendapatan secara positif dan signifikan dalam memengaruhi profitabilitas dan risiko keuangan serta memengaruhi risiko kredit secara negatif signifikan pada bank-bank di ASEAN-5 selama pandemi covid-19.. ......This study aims to examine the effect of income diversification carried out by banks on the profitability and risk of banks in ASEAN-5 countries during the COVID-19 pandemic. The sample consists of 86 public banks listed on the Indonesia Stock Exchange (IDX), Singapore Stock Exchange (SGX), Malaysia Stock Exchange (MYX), Philippines Stock Exchange (PSE), and Thailand Stock Exchange (SET). The research method uses panel regression with the fixed-effect model estimation method. This study finds that there is positive and significant relationship between income diversification influencing bank profitability and financial risk and negative significant effected credit risk in banks in ASEAN-5 during covid-19 pandemic.