Othaman, Ridhuan (2017): Performance and Size of Fraser & Neave Holdings Bhd (F&N).
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Abstract
The main study is to analyze about the overall of the risk and the performance of the Fraser & Neave Holdings Bhd (F&N). All the is get from annual report that get from the Bursa Malaysia. The measurement of the company is used in variety of ratio such as liquidity risk, operational risk, credit risk and financial risk. These ratio is useful to know well about the company.
Item Type: | MPRA Paper |
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Original Title: | Performance and Size of Fraser & Neave Holdings Bhd (F&N) |
English Title: | Performance and Size of Fraser & Neave Holdings Bhd (F&N) |
Language: | English |
Keywords: | Risk and performance of the company, profitability and Liquidity. |
Subjects: | G - Financial Economics > G0 - General G - Financial Economics > G0 - General > G00 - General G - Financial Economics > G3 - Corporate Finance and Governance G - Financial Economics > G3 - Corporate Finance and Governance > G30 - General L - Industrial Organization > L1 - Market Structure, Firm Strategy, and Market Performance P - Economic Systems > P0 - General |
Item ID: | 78503 |
Depositing User: | Mr Ridhuan Othaman |
Date Deposited: | 17 Apr 2017 09:42 |
Last Modified: | 26 Sep 2019 14:53 |
References: | Alman, M. (2012). Shari’ah Supervisory Board Composition Effects on Islamic Banks' Risk Taking Behaviour. 1-44. Bursa Malaysia. (n.d.). Retrieved 3 10, 2017, from http://www.bursamalaysia.com/market/ FocusEconomics. (n.d.). Retrieved 3 22, 2017, from Economic Forecasts from the World's Leading Economists: http://www.focus-economics.com/countries/malaysia Investopedia. (2017). Retrieved 3 20, 2017, from http://www.investopedia.com/terms/c/currentratio.asp Kolapo T. Funso, A. R. (2012). Credit Risk and Commercial Banks' Performance in Nigeria: A Panel Model Approach. Australian Journal of Business and Management Research Vol: 2, 31-38. Sharifah Norhafiza Syed Ibrahim, H. M. (2007). The Relationship between Corporate Governance Disclosures and Balance Sheet Ratios. Gading Business and Management Journal Vol: 11, 33-40. Waeibrorheem Waemustafa, S. S. (2015). Bank Specific and Macroeconomics Dynamic Determinants of Credit Risk in Islamic Banks and Conventional Banks. International Journal of Economics and Financial Issues, 476-481. Waeibrorheem Waemustafa, S. S. (2016). Systematic and Unsystematic Risk Determinants of Liquidity Risk Between Islamic and Conventional Banks. International Journal of Economics and Financial Issues, 1321-1327. Weibrorheem Waemustafa, A. A. (2015). Mode of Islamic Bank Financing: Does Effectiveness of Shariah Supervisory Boards Matter? .Aust. J. Basic & Appl. Sci., 9(37): , 458 |
URI: | https://mpra.ub.uni-muenchen.de/id/eprint/78503 |