Arshad, Nur Shahwani (2017): Genting plantation berhad performance and risk.
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Abstract
The study investigated the company performanace and risk the company will bear. The purpose of this study were 1) to analyse the Genting Plantation Berhad performance, 2) to analyse the four risk which is credit risk, liquidity risk, operational risk and market risk, 3) to determines company performance using return of assets. Methodology for this study is five previous year analysis for Genting Plantation Berhad annual report starting 2011-2015. Data collected and measured with to determine risk and performance by using ratio calculation. The company performance is measured by ROA. The findings show credit risk, operational have a negative significant while market risk has positive significant with ROA.
Item Type: | MPRA Paper |
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Original Title: | Genting plantation berhad performance and risk |
English Title: | Genting plantation berhad performance and risk |
Language: | English |
Keywords: | credit risk; liquidity risk; operational risk; market risk; profitability |
Subjects: | G - Financial Economics > G0 - General > G00 - General G - Financial Economics > G2 - Financial Institutions and Services G - Financial Economics > G3 - Corporate Finance and Governance |
Item ID: | 78640 |
Depositing User: | Miss Nur Shahwani Arshad |
Date Deposited: | 21 Apr 2017 07:33 |
Last Modified: | 27 Sep 2019 04:42 |
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URI: | https://mpra.ub.uni-muenchen.de/id/eprint/78640 |