Diversifikasi Pendapatan, Kepemilikan Pemerintah, Kinerja dan Risiko Bank

Rahmat Setiawan and Annisa Shabrina (2018) Diversifikasi Pendapatan, Kepemilikan Pemerintah, Kinerja dan Risiko Bank. Jurnal Dinamika Ekonomi dan Bisnis, 15 (1). pp. 49-59. ISSN 1693-8275; e-ISSN: 2548-5644

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Official URL: https://ejournal.unisnu.ac.id/JDEB/article/view/91...

Abstract

This study investigates the effect of income diversification on bank performance and risk for government owned banks in Indonesia. This study uses return on assets (ROA) for bank performance and standard deviation of return on assets (SDROA) for bank risk. Using a data set of government owned banks in Indonesia during the period 2012-2016, we find evidence that income diversification is positively related to bank performance (ROA). Income diversification is positively related to bank risk. We find that income diversification increases performance and also risk for government owned banks.

Item Type: Article
Uncontrolled Keywords: Diversifikasi pendapatan, Kepemilikan pemerintah, Kinerja bank, Risiko bank
Subjects: H Social Sciences
H Social Sciences > HG Finance
H Social Sciences > HG Finance > HG1-9999 Finance > HG1501-3550 Banking
Divisions: 04. Fakultas Ekonomi dan Bisnis > Manajemen
Creators:
CreatorsNIM
Rahmat SetiawanNIDN0026017901
Annisa ShabrinaNIM041614153006
Depositing User: Tn Sugeng Riyanto
Date Deposited: 15 Dec 2020 04:09
Last Modified: 19 Jul 2021 02:37
URI: http://repository.unair.ac.id/id/eprint/101585
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