Chow, Kah Kah (2019): An Analysis Of Internal and External Factors Affecting Peel Hotel PLC's Profitability Performance.
Preview |
PDF
MPRA_paper_97190.pdf Download (1MB) | Preview |
Abstract
The purpose of this article is to examine Peel Hotels PLC’s relative financial performance with its internal factors and external factors. The data collected from annual reports of Peel Hotels PLC for the period 2014 to 2018 has been analysed through regression correlation. Return on assets (ROA) is used as the measurement of company’s performance whereas risk indicators are selected as internal factors and macroeconomic factors are used as the external factors. When these considerations are analysed, the operational risk indicators which are operational ratio and operating margin that under internal factors will most influence the performance. A few recommendations are suggested based on the results.
Item Type: | MPRA Paper |
---|---|
Original Title: | An Analysis Of Internal and External Factors Affecting Peel Hotel PLC's Profitability Performance |
Language: | English |
Keywords: | Performance, ROA, Internal Factors, Operational Ratio, Operating Margin |
Subjects: | G - Financial Economics > G1 - General Financial Markets > G18 - Government Policy and Regulation G - Financial Economics > G3 - Corporate Finance and Governance > G32 - Financing Policy ; Financial Risk and Risk Management ; Capital and Ownership Structure ; Value of Firms ; Goodwill M - Business Administration and Business Economics ; Marketing ; Accounting ; Personnel Economics > M3 - Marketing and Advertising > M38 - Government Policy and Regulation M - Business Administration and Business Economics ; Marketing ; Accounting ; Personnel Economics > M4 - Accounting and Auditing > M48 - Government Policy and Regulation |
Item ID: | 97190 |
Depositing User: | Kah Kah Chow |
Date Deposited: | 28 Nov 2019 13:08 |
Last Modified: | 28 Nov 2019 13:08 |
References: | Basel Committe, o. B. (2014). Operational risk – Revisions to simpler approaches. Bank for International Settlement. Basel Committee, o. B. (2011). Principles for the Sound Management of Operational Risk. Bank for International Settlement. Basel Committee, o. B. (2019). MAR10 Definition and application for market risk. Bank for International Settlement. Retrieved from https://www.bis.org/basel_framework/chapter/MAR/10.htm?inforce=20190101&export=pdf&pdfid=15700065146363530 Britain's visitor economy facts. (2019). Retrieved from VisitBritain: https://www.visitbritain.org/visitor-economy-facts Cequea, A. (26 September, 2017). How to Evaluate a Company's Performance. Retrieved from bizfluent: https://bizfluent.com/how-6765578-evaluate-company-s-performance.html De Nederlandsche, B. (2016). The Return On Equity of Large Dutch Banks. Retrieved from https://www.dnb.nl/binaries/OS_tcm46-346479.pdf Guzman, O. (n.d.). Differences Between Business Risk & Financial Risk. Retrieved from Small Business - Chron.com: https://smallbusiness.chron.com/differences-between-business-risk-financial-risk-100.html Huber, J.-A., & Funaro, D. (10 Juy, 2018). How Banks Can Manage Operational Risk. Retrieved from BAIN & COMPANY: https://www.bain.com/insights/how-banks-can-manage-operational-risk/ Kamar, W. N. (2018). The Impact of Determinants Liquidity Risk Towards Profitability. Loh, C. Z. (2017). Specific risk factors and macroeconomic factor on profitability performance an emphirical evidence of Top Glove Corporation Bhd. Neoh, H. L. (19 May, 2018). A Study in Hotel Sector in United Kingdom: Liquidity Risk and Its Determinants. Retrieved from https://papers.ssrn.com/sol3/papers.cfm?abstract_id=3181621 Rouse, M. (October, 2013). operational risk. Retrieved from SearchCompliance: https://searchcompliance.techtarget.com/definition/operational-risk Securities Commision, M. (2017). Malaysia Code on Corporate Governance. Shiri, M. M., & Roshandel, M. (2015). The relationship between stock liquidity risk and financial information quality criteriain Tehran Stock Exchange. Iranian Journal of Management Studies (IJMS). Spacey, J. (25 August, 2015). 4 Types of Market Risk. Retrieved from Simplicable: https://simplicable.com/new/market-risk The Multiple Linear Regression Analysis in SPSS. (n.d.). Retrieved from Statistics Solutions: https://www.statisticssolutions.com/the-multiple-linear-regression-analysis-in-spss/ The Travel & Tourism Competitiveness Report 2019. (2019, September 4). Retrieved from World Economic Forum: https://www.weforum.org/reports/the-travel-tourism-competitiveness-report-2019 Tucker, M. (29 Oct, 2015). Credit Risk and Interest Rate Risk Have a Negative Correlation. Retrieved from MarketRealist: https://marketrealist.com/2015/10/credit-risk-interest-rate-risk-negative-correlation/ Verma, E. (5 August, 2019). Financial Risk and Its Types. Retrieved from simplilearn: https://www.simplilearn.com/financial-risk-and-types-rar131-article |
URI: | https://mpra.ub.uni-muenchen.de/id/eprint/97190 |