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dc.contributor.authorWIDOWATI, CICI
dc.contributor.authorMUNAWARAH, MUNAWARAH
dc.contributor.authorMUHARAM, HARJUM
dc.date.accessioned2017-06-06T03:44:37Z
dc.date.available2017-06-06T03:44:37Z
dc.date.issued2017
dc.identifier.urihttp://repository.umy.ac.id/handle/123456789/10621
dc.descriptionIn the recent global economic condition, Indonesia banking industry is encouraged by the Financial Service Authority to minimize the potential risk occurrence. This in line with banking regulatory reform undertaken by the Basel Committee which encouraged banks to limit the scope of activities and should reconsider their business model to reduce the risk Mergaerts & Vander Vennet (2016). This paper is related to a growing literature that focuses on the concept of bank business models to explain bank risk-taking. Following Altunbas, Manganelli, & Marques-Ibanez (2011) and Mergaerts & Vander Vennet (2016), this paper aims to develop a model that links the bank business model reflected by bank’s strategic choices (asset, liability, capital, and income structure) to bank risk-taking, in the context of Indonesian banking industry.en_US
dc.description.abstractIn the recent global economic condition, Indonesia banking industry is encouraged by the Financial Service Authority to minimize the potential risk occurrence. This in line with banking regulatory reform undertaken by the Basel Committee which encouraged banks to limit the scope of activities and should reconsider their business model to reduce the risk Mergaerts & Vander Vennet (2016). This paper is related to a growing literature that focuses on the concept of bank business models to explain bank risk-taking. Following Altunbas, Manganelli, & Marques-Ibanez (2011) and Mergaerts & Vander Vennet (2016), this paper aims to develop a model that links the bank business model reflected by bank’s strategic choices (asset, liability, capital, and income structure) to bank risk-taking, in the context of Indonesian banking industry.en_US
dc.publisherUMYen_US
dc.title6BUILDING A MODEL IN EXPLAINING BANK RISK-TAKING IN INDONESIA THROUGH THE BANK BUSINESS MODELSen_US
dc.typeArticleen_US


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