2019
DOI: 10.1016/j.procs.2019.09.139
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The Effect of Credit Risk on Financial Performance of Deposit Banks In Turkey

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Cited by 124 publications
(148 citation statements)
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“…Market risk is the risk of loss in liquid portfolio arising from the movements in market prices and consisting of interest rate, currency, equity, and commodity risk (Ekinci, 2016).There have been many previous studies on the impact of risk towards stock return relationship that show divergent findings. For example, (Pamane & Vikpossi, 2014) and (Buana & Haryanto, 2016) reported on their researches that market risk does not have influence on stock return.…”
Section: Introductionmentioning
confidence: 99%
“…Market risk is the risk of loss in liquid portfolio arising from the movements in market prices and consisting of interest rate, currency, equity, and commodity risk (Ekinci, 2016).There have been many previous studies on the impact of risk towards stock return relationship that show divergent findings. For example, (Pamane & Vikpossi, 2014) and (Buana & Haryanto, 2016) reported on their researches that market risk does not have influence on stock return.…”
Section: Introductionmentioning
confidence: 99%
“…This was caused by the drop-in capital adequacy and fall in asset quality in the year 2017 (CBK, 2018). The drop-in capital for one commercial bank affects the whole economic standing of a nation (Ekinci & Poyraz, 2019). This, therefore, disrupts the current country's vision 2030 which aim to create a globally competitive and prosperous country with a high quality of life.…”
Section: Empirical Reviewmentioning
confidence: 99%
“…Hasil lain juga menyebutkan bahwa bank dengan kepemilikan asing memiliki kinerja yang lebih baik dengan jenis bank lainnya (Kobeissi, 2010dan Sufian & Majid, 2008. Sedangkan penelitian oleh Ekinci & Poyraz (2019) dan Zouari & Taktak (2014) memberikan hasil bahwa bank asing memiliki pengaruh negatif signifikan terhadap kinerja. Sehingga berdasarkan penjelasan di atas dapat dirumuskan hipotesis sebagai berikut.…”
Section: H3: Struktur Kepemilikan Bank Swasta Domestik Berpengaruh Neunclassified
“…Nilai t untuk variabel Foreign terhadap ROA yaitu sebesar -3,158, sehingga berdasarkan hasil tersebut, hipotesis keempat dalam penelitian ditolak. Hasil penelitian ini sesuai dengan beberapa penelitian sebelumnya yaitu Shawtari (2018); Zouari & Taktak (2014); Ekinci & Poyraz (2019). Hubungan negatif antara kepemilikan asing dengan kinerja disebabkan adanya perbedaan yang signifikan nilai ROA pada data setiap tahunnya.…”
Section: Pengaruh Foreign Ownership Terhadap Kinerja Keuanganunclassified