wan moh zaki, wan fadzillah anira (2017): Performances And Risk Of Landmark Berhad.
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Abstract
This study was to examine risk and performances of company by relates 5 article that can be relate.There 5 article that explain about how Landmark Berhad company handle the risk and the performances.Credit risk,Liquidity risk,Operational risk,legal risk and Market risk is the risk that faced by company and how they manage it.This study was found this company has many high risk and low performance in manage their risk.This can prove by look descriptive analysis.
Item Type: | MPRA Paper |
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Original Title: | Performances And Risk Of Landmark Berhad |
English Title: | Performances And Risk Of Landmark Berhad |
Language: | English |
Keywords: | Return on Asset & Return on Equity, Return on Investment, Liquidity Ratio & Operating Ratio |
Subjects: | G - Financial Economics > G0 - General G - Financial Economics > G3 - Corporate Finance and Governance |
Item ID: | 78357 |
Depositing User: | Miss wan fadzillah anira wan mohd zaki |
Date Deposited: | 16 Apr 2017 03:35 |
Last Modified: | 30 Sep 2019 14:41 |
References: | David C. Ling &Andy Naranjo (1995). Economic Risk Factors and Commercial Real Estate Returns. University of Florida -Warrington College of Business Administration. Jayaraman .M,Shankar.C .& Sivamurugan,P(2011).Australian Journal of Basic and Applied Sciences, 5(11): 718-723. Faculty of Business and Law, Masterskill University College, Selangor, Malaysia. Waeibrorheem .W & Suriani.S. (2015). International Journal of Economics and Financial Issues. School of Economic, Finance & Banking (SEFB), Universiti Utara Malaysia, Kedah, Malaysia. W. Waemustafa & A. Abdullah. (2015).Mode of Islamic Bank Financing: Does Effectiveness of Shari’ah Supervisory Board Matter. School of Economics, Finance and Banking, College of Business (COB), Universiti Utara Malaysia, Kedah, Malaysia |
URI: | https://mpra.ub.uni-muenchen.de/id/eprint/78357 |