Kamaludin, Sabrina (2017): Risk Performance of Kawan Food Berhad. Published in: Risk Performance of Kawan Food Berhad
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Abstract
This paper examines the relationships between Kawan Food Berhad company performance with specific risk.The Kawan Food Berhad performance also being evaluated by an index based on 9 attributes score. The data obtained from annual report of Kawan Food Berhad from 2011 till 2015. The measurement of liquidity ratio and return of asset used to see the overall performance of Kawan Food Berhad in 5 years which beyond benchmark. To see the relationship of risks factors to the profitability, this paper examined operating risk, leverage risk and counterparty risk. Data was analyzed by utilizing regression and bivariate correlation.
Item Type: | MPRA Paper |
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Original Title: | Risk Performance of Kawan Food Berhad |
English Title: | Risk Performance of Kawan Food Berhad |
Language: | English |
Keywords: | Company performance , Liquidity ratio, Return on asset. |
Subjects: | G - Financial Economics > G0 - General G - Financial Economics > G0 - General > G00 - General G - Financial Economics > G1 - General Financial Markets |
Item ID: | 78506 |
Depositing User: | Sabrina Kamaludin |
Date Deposited: | 18 Apr 2017 15:05 |
Last Modified: | 28 Sep 2019 03:45 |
References: | John Bagel III, John Elysee Brown and Lang Davison. (2014, July 23). The Best Way to Measure Company Performance. Retrieved March 29, 2017, from https://hbr.org/2010/03/the-best-way-to-measure-compan McClure, B. (2004, January 26). Use ROA To Gauge A Company's Profits. Retrieved March 29, 2017, from http://www.investopedia.com/articles/fundamental/04/012804.asp Waemustafa, Waeibrorheem, and Suriani Sukri. "Systematic and Unsystematic Risk Determinants of Liquidity Risk Between Islamic and Conventional Banks." International Journal of Economics and Financial Issues 6.4 (2016). |
URI: | https://mpra.ub.uni-muenchen.de/id/eprint/78506 |