Jamalludin, Nadia (2017): Risk and Performance of SapuraKencana Petroleum Berhad.
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Abstract
The purpose of this study is to examine the overall performance of SapuraKencana as an oil and gas in industry in Malaysia. The overall performance is being measured from 2011 to 2015 as measuring liability, operational and liquidity performance. These three performances are important for this company as this kind of industry is growing fast. The most significant one is liquidity performance where it contains of measurement of how well company in generating profit through its assets. Relationships of these three performances with GDP are also measured using SPSS in creating correlation and Annova in order to see the significant result. In order to find the result, most of the data output in SPSS is included ROA as dependent variable.
Item Type: | MPRA Paper |
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Original Title: | Risk and Performance of SapuraKencana Petroleum Berhad |
English Title: | Risk and Performance of SapuraKencana Petroleum Berhad |
Language: | English |
Keywords: | Performance, liquidity, measurement, profit |
Subjects: | G - Financial Economics > G1 - General Financial Markets > G11 - Portfolio Choice ; Investment Decisions G - Financial Economics > G1 - General Financial Markets > G17 - Financial Forecasting and Simulation G - Financial Economics > G2 - Financial Institutions and Services |
Item ID: | 78422 |
Depositing User: | Nadia Jamalludin |
Date Deposited: | 18 Apr 2017 15:08 |
Last Modified: | 27 Sep 2019 04:36 |
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URI: | https://mpra.ub.uni-muenchen.de/id/eprint/78422 |