المصدر: | مجلة الاقتصاد التطبيقي والإحصاء |
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الناشر: | المدرسة الوطنية العليا للإحصاء والاقتصاد التطبيقي |
المؤلف الرئيسي: | Sahraoui, Fatma Zahra (Author) |
مؤلفين آخرين: | Merhoun, Malek (Co-Author) |
المجلد/العدد: | مج19, ع1 |
محكمة: | نعم |
الدولة: |
الجزائر |
التاريخ الميلادي: |
2022
|
الشهر: | يونيو |
الصفحات: | 6 - 20 |
ISSN: |
1112-234x |
رقم MD: | 1274118 |
نوع المحتوى: | بحوث ومقالات |
اللغة: | الإنجليزية |
قواعد المعلومات: | EcoLink |
مواضيع: | |
كلمات المؤلف المفتاحية: |
Risk Management | Financial Performance | Algerian Banks | ROA | ROE
|
رابط المحتوى: |
الناشر لهذه المادة لم يسمح بإتاحتها. |
المستخلص: |
This study investigates the relationship between risk management and financial performance in Algeria banks for the period 2010- 2019. The study conducted a panel regression analysis, to estimates the variation of the performance measures using OLS, fixed and random effects methods, after that, a Hausman’s test was established to determine the appropriate model to estimate. The results show that financial performance in Algerian banks measured using ROA and ROE, have a significant relationship with both bank specific variables and macroeconomic variables: interest rate risk (IRR), funding liquidity ratio (FL), provision to total loans ratio (PTL), GDP, inflation, real exchange rate (USD/DZD) and to real interest rate. Findings also indicate that Algerian banks need to improve loan quality and have sound credit risk management procedures. |
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ISSN: |
1112-234x |