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Research Article | Open Access
Volume 14 2022 | None
THE EFFECT OF RISK MANAGEMENT ON FINANCIAL PERFORMANCE OF BANKS IN MALAYSIA
Kaliyammal A/P Kaliswaran , and Phuah Eng Sze , Dhamayanthi Arumugam
Pages: 6287-6295
Abstract
This article aimed to examine the elements impacting the risk management on financial performance of bank in Malaysia. The elements considered in this article include credit risk, liquidity risk, market risk, and operational risk linked to the influence on financial performance of bank. The study employed primary data to explore the factors. Literature review looked at the viewpoints of previous researchers on each variable mentioned and assessed in this study. Questionnaires were delivered to each lender directly. After the data was obtained, it was examined using SPSS 23 software. The association between the dependent variable and independent variables which included credit risk, liquidity risk, market risk and operational risk are substantial among banks in Malaysia
Keywords
: Bank Performance, Internal control system, Risk Management, Financial Performance
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