Risk management and firm performance: an analysis of financial institutions in Malaysia

This study examines risk management practices in Malaysia by financial institutions. Risk management is highly strengthen by Malaysian Code of Corporate Governance (MCCG) 2017. Specifically, it stress in the role of board and risk management committee. Hence, this study examines the relationship bet...

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Main Author: Adnan, Nur Ili Najihah
Format: Thesis
Language:eng
eng
eng
Published: 2019
Subjects:
Online Access:https://etd.uum.edu.my/9417/1/s818855_01.pdf
https://etd.uum.edu.my/9417/2/s818855_02.pdf
https://etd.uum.edu.my/9417/3/s818855_references.docx
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spelling my-uum-etd.94172022-05-29T10:30:49Z Risk management and firm performance: an analysis of financial institutions in Malaysia 2019 Adnan, Nur Ili Najihah Salim, Basariah Othman Yeop Abdullah Graduate School of Business Othman Yeop Abdullah Graduate School of Business HB615-715 Entrepreneurship. Risk and uncertainty. Property This study examines risk management practices in Malaysia by financial institutions. Risk management is highly strengthen by Malaysian Code of Corporate Governance (MCCG) 2017. Specifically, it stress in the role of board and risk management committee. Hence, this study examines the relationship between risk management committee (RMC) structure which are risk management committee size, risk management committee composition and risk management committee meeting frequency with firm performance (ROA) of listed financial institutions in Malaysia from the year 2016 to 2017. Data are collected from the annual reports of 32 sampled firms. Results of this study show that there are no significant relationship between variables such as risk management committee size, risk management committee composition and risk management committee meeting frequency with firm performance. However, the findings show that there is a significant relationship between the firm size as control variable with the firm performance of financial institutions. 2019 Thesis https://etd.uum.edu.my/9417/ https://etd.uum.edu.my/9417/1/s818855_01.pdf text eng public https://etd.uum.edu.my/9417/2/s818855_02.pdf text eng public https://etd.uum.edu.my/9417/3/s818855_references.docx text eng public other masters Universiti Utara Malaysia
institution Universiti Utara Malaysia
collection UUM ETD
language eng
eng
eng
advisor Salim, Basariah
topic HB615-715 Entrepreneurship
Risk and uncertainty
Property
spellingShingle HB615-715 Entrepreneurship
Risk and uncertainty
Property
Adnan, Nur Ili Najihah
Risk management and firm performance: an analysis of financial institutions in Malaysia
description This study examines risk management practices in Malaysia by financial institutions. Risk management is highly strengthen by Malaysian Code of Corporate Governance (MCCG) 2017. Specifically, it stress in the role of board and risk management committee. Hence, this study examines the relationship between risk management committee (RMC) structure which are risk management committee size, risk management committee composition and risk management committee meeting frequency with firm performance (ROA) of listed financial institutions in Malaysia from the year 2016 to 2017. Data are collected from the annual reports of 32 sampled firms. Results of this study show that there are no significant relationship between variables such as risk management committee size, risk management committee composition and risk management committee meeting frequency with firm performance. However, the findings show that there is a significant relationship between the firm size as control variable with the firm performance of financial institutions.
format Thesis
qualification_name other
qualification_level Master's degree
author Adnan, Nur Ili Najihah
author_facet Adnan, Nur Ili Najihah
author_sort Adnan, Nur Ili Najihah
title Risk management and firm performance: an analysis of financial institutions in Malaysia
title_short Risk management and firm performance: an analysis of financial institutions in Malaysia
title_full Risk management and firm performance: an analysis of financial institutions in Malaysia
title_fullStr Risk management and firm performance: an analysis of financial institutions in Malaysia
title_full_unstemmed Risk management and firm performance: an analysis of financial institutions in Malaysia
title_sort risk management and firm performance: an analysis of financial institutions in malaysia
granting_institution Universiti Utara Malaysia
granting_department Othman Yeop Abdullah Graduate School of Business
publishDate 2019
url https://etd.uum.edu.my/9417/1/s818855_01.pdf
https://etd.uum.edu.my/9417/2/s818855_02.pdf
https://etd.uum.edu.my/9417/3/s818855_references.docx
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