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Article
Publication date: 1 October 2002

Sarah Powell

108

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Library Review, vol. 51 no. 7
Type: Research Article
ISSN: 0024-2535

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Abstract

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Library Review, vol. 56 no. 5
Type: Research Article
ISSN: 0024-2535

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Article
Publication date: 1 February 2002

David Gerard

94

Abstract

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Library Review, vol. 51 no. 1
Type: Research Article
ISSN: 0024-2535

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Article
Publication date: 1 October 2000

Alan Day

190

Abstract

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Library Review, vol. 49 no. 7
Type: Research Article
ISSN: 0024-2535

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Article
Publication date: 1 April 2000

W. Malcolm Watson

28

Abstract

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Library Review, vol. 49 no. 3
Type: Research Article
ISSN: 0024-2535

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Article
Publication date: 1 July 2002

William Baker

34

Abstract

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Library Review, vol. 51 no. 5
Type: Research Article
ISSN: 0024-2535

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Abstract

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Library Hi Tech News, vol. 20 no. 3
Type: Research Article
ISSN: 0741-9058

Open Access
Article
Publication date: 23 October 2020

Ika Permatasari

The purpose of this study is to examine the relationship between corporate governance and risk management of Indonesian banks.

7771

Abstract

Purpose

The purpose of this study is to examine the relationship between corporate governance and risk management of Indonesian banks.

Design/methodology/approach

Implementation of good corporate governance is measured by good corporate governance composite rating, which is the result of bank's self-assessment. Bank risk managements are measured by market risk, credit risk, liquidity risk and operational risk.

Findings

The study results showed that good corporate governance implementation in Indonesia was able to influence bank risk. There were differences in credit risk, liquidity risk and operational risk in banks with different governance ratings, but not at market risk.

Originality/value

The effectiveness of risk management and good corporate governance implementation is needed to enable banks to identify problems early, to follow up on rapid improvements and to be more resilient to crises. This study is an analysis of the relationship between corporate governance and banks' risk management in Indonesia. In particular, risk management is measured by four risks: market risk, credit risk, liquidity risk and operation risk.

Details

International Trade, Politics and Development, vol. 4 no. 2
Type: Research Article
ISSN: 2586-3932

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Content available
Article
Publication date: 6 April 2010

Slawomir Magala

199

Abstract

Details

Journal of Organizational Change Management, vol. 23 no. 2
Type: Research Article
ISSN: 0953-4814

Content available
Book part
Publication date: 28 May 2024

Abstract

Details

Contemporary Issues in International Trade
Type: Book
ISBN: 978-1-83797-321-7

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