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PENGARUH DIVERSIFIKASI PORTOFOLIO KREDIT TERHADAP TINGKAT RISIKO KREDIT DENGAN GOOD CORPORATE GOVERNANCE SEBAGAI VARIABEL PEMODERASI Studi pada Bank Umum di Indonesia

A formal control system supports the success of loan portfolio diversification strategy. Good corporate governance as a formal control system can be support the success of implementation of loan portfolio diversification strategy with the result risk profile will occur in the low level. The aim of t...

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Main Authors: , RYANA WIDYATINI, , Wulan Wimbari, S.E., M.Bus
Format: Theses and Dissertations NonPeerReviewed
Published: [Yogyakarta] : Universitas Gadjah Mada 2014
Subjects:
ETD
Online Access:https://repository.ugm.ac.id/128839/
http://etd.ugm.ac.id/index.php?mod=penelitian_detail&sub=PenelitianDetail&act=view&typ=html&buku_id=69212
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Institution: Universitas Gadjah Mada
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spelling id-ugm-repo.1288392016-03-04T08:11:00Z https://repository.ugm.ac.id/128839/ PENGARUH DIVERSIFIKASI PORTOFOLIO KREDIT TERHADAP TINGKAT RISIKO KREDIT DENGAN GOOD CORPORATE GOVERNANCE SEBAGAI VARIABEL PEMODERASI Studi pada Bank Umum di Indonesia , RYANA WIDYATINI , Wulan Wimbari, S.E., M.Bus ETD A formal control system supports the success of loan portfolio diversification strategy. Good corporate governance as a formal control system can be support the success of implementation of loan portfolio diversification strategy with the result risk profile will occur in the low level. The aim of this study is to explore the effect of loan portfolio diversification towards credit risk level with good corporate governance as a moderating variable. Study on General Bank in Indonesia. The panel data analysis used eviews version 7.2. Sample of the data were general banks that had registered at BEI in 2009 to 2012 period. The collecting of the data was based on the certain criterions and there were 20 banks. The results of this research showed that good corporate governance moderate loan portfolio diversification strategy, so it can decrease credit risk level in the low level. The positive effect of good corporate governance in moderating the effect of loan portfolio diversification toward credit risk level was consistent not only based on by type of loan but also economic sector. [Yogyakarta] : Universitas Gadjah Mada 2014 Thesis NonPeerReviewed , RYANA WIDYATINI and , Wulan Wimbari, S.E., M.Bus (2014) PENGARUH DIVERSIFIKASI PORTOFOLIO KREDIT TERHADAP TINGKAT RISIKO KREDIT DENGAN GOOD CORPORATE GOVERNANCE SEBAGAI VARIABEL PEMODERASI Studi pada Bank Umum di Indonesia. UNSPECIFIED thesis, UNSPECIFIED. http://etd.ugm.ac.id/index.php?mod=penelitian_detail&sub=PenelitianDetail&act=view&typ=html&buku_id=69212
institution Universitas Gadjah Mada
building UGM Library
country Indonesia
collection Repository Civitas UGM
topic ETD
spellingShingle ETD
, RYANA WIDYATINI
, Wulan Wimbari, S.E., M.Bus
PENGARUH DIVERSIFIKASI PORTOFOLIO KREDIT TERHADAP TINGKAT RISIKO KREDIT DENGAN GOOD CORPORATE GOVERNANCE SEBAGAI VARIABEL PEMODERASI Studi pada Bank Umum di Indonesia
description A formal control system supports the success of loan portfolio diversification strategy. Good corporate governance as a formal control system can be support the success of implementation of loan portfolio diversification strategy with the result risk profile will occur in the low level. The aim of this study is to explore the effect of loan portfolio diversification towards credit risk level with good corporate governance as a moderating variable. Study on General Bank in Indonesia. The panel data analysis used eviews version 7.2. Sample of the data were general banks that had registered at BEI in 2009 to 2012 period. The collecting of the data was based on the certain criterions and there were 20 banks. The results of this research showed that good corporate governance moderate loan portfolio diversification strategy, so it can decrease credit risk level in the low level. The positive effect of good corporate governance in moderating the effect of loan portfolio diversification toward credit risk level was consistent not only based on by type of loan but also economic sector.
format Theses and Dissertations
NonPeerReviewed
author , RYANA WIDYATINI
, Wulan Wimbari, S.E., M.Bus
author_facet , RYANA WIDYATINI
, Wulan Wimbari, S.E., M.Bus
author_sort , RYANA WIDYATINI
title PENGARUH DIVERSIFIKASI PORTOFOLIO KREDIT TERHADAP TINGKAT RISIKO KREDIT DENGAN GOOD CORPORATE GOVERNANCE SEBAGAI VARIABEL PEMODERASI Studi pada Bank Umum di Indonesia
title_short PENGARUH DIVERSIFIKASI PORTOFOLIO KREDIT TERHADAP TINGKAT RISIKO KREDIT DENGAN GOOD CORPORATE GOVERNANCE SEBAGAI VARIABEL PEMODERASI Studi pada Bank Umum di Indonesia
title_full PENGARUH DIVERSIFIKASI PORTOFOLIO KREDIT TERHADAP TINGKAT RISIKO KREDIT DENGAN GOOD CORPORATE GOVERNANCE SEBAGAI VARIABEL PEMODERASI Studi pada Bank Umum di Indonesia
title_fullStr PENGARUH DIVERSIFIKASI PORTOFOLIO KREDIT TERHADAP TINGKAT RISIKO KREDIT DENGAN GOOD CORPORATE GOVERNANCE SEBAGAI VARIABEL PEMODERASI Studi pada Bank Umum di Indonesia
title_full_unstemmed PENGARUH DIVERSIFIKASI PORTOFOLIO KREDIT TERHADAP TINGKAT RISIKO KREDIT DENGAN GOOD CORPORATE GOVERNANCE SEBAGAI VARIABEL PEMODERASI Studi pada Bank Umum di Indonesia
title_sort pengaruh diversifikasi portofolio kredit terhadap tingkat risiko kredit dengan good corporate governance sebagai variabel pemoderasi studi pada bank umum di indonesia
publisher [Yogyakarta] : Universitas Gadjah Mada
publishDate 2014
url https://repository.ugm.ac.id/128839/
http://etd.ugm.ac.id/index.php?mod=penelitian_detail&sub=PenelitianDetail&act=view&typ=html&buku_id=69212
_version_ 1681232865736523776