Is there any relationship among the risks of banks in Malaysia?
Banking sector is the backbone of any country’s economy and involves in the risky business activity. It is also highly regulated industry mainly due its high risky activities. Among the risks faced by the banks, operating risk, liquidity risk, credit risk and market risk are the major risk. The ob...
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iium-364642017-09-25T01:40:01Z http://irep.iium.edu.my/36464/ Is there any relationship among the risks of banks in Malaysia? Htay, Sheila Nu Nu Salman, Syed Ahmed HG1501 Banking Banking sector is the backbone of any country’s economy and involves in the risky business activity. It is also highly regulated industry mainly due its high risky activities. Among the risks faced by the banks, operating risk, liquidity risk, credit risk and market risk are the major risk. The objective of this study is to examine the correlation among these risks in the context of locally owned banks in Malaysia. The data has been collected from five listed banks for 10 years (2002-2011). Malaysian banking sector is chosen due to its unique nature of banking environment which promotes Malaysia to be the hub of Islamic banking and finance and which accommodate the dual banking system. Pearson correlation method is used to find out the relationship among the risk. The findings show that the risk relation varies across the banks and it is difficult to generalize the risk relationship nature in Malaysian banks. We suggest the banks need to manage the risks based on their risk portfolio and risk appetite. These findings contribute to enhance the knowledge on risk behaviors and will be the interest of regulators, investors and industrial players for future making rules, investment decision and plan the risk management. IDOSI Publication 2014 Article PeerReviewed application/pdf en http://irep.iium.edu.my/36464/1/Is_There_Any_Relationship_among_the_Risks_of_Banks_in_Malaysia.pdf application/pdf en http://irep.iium.edu.my/36464/5/36464_Is%20there%20any%20relationship%20among_SCOPUS.pdf Htay, Sheila Nu Nu and Salman, Syed Ahmed (2014) Is there any relationship among the risks of banks in Malaysia? World Applied Sciences Journal, 30. pp. 295-301. ISSN 1818-4952 DOI: 10.5829/idosi.wasj.2014.30.icmrp.38 |
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Digital Repository |
institution_category |
Local University |
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International Islamic University Malaysia |
building |
IIUM Repository |
collection |
Online Access |
language |
English English |
topic |
HG1501 Banking |
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HG1501 Banking Htay, Sheila Nu Nu Salman, Syed Ahmed Is there any relationship among the risks of banks in Malaysia? |
description |
Banking sector is the backbone of any country’s economy and involves in the risky business activity.
It is also highly regulated industry mainly due its high risky activities. Among the risks faced by the banks,
operating risk, liquidity risk, credit risk and market risk are the major risk. The objective of this study is to
examine the correlation among these risks in the context of locally owned banks in Malaysia. The data has been
collected from five listed banks for 10 years (2002-2011). Malaysian banking sector is chosen due to its unique
nature of banking environment which promotes Malaysia to be the hub of Islamic banking and finance and
which accommodate the dual banking system. Pearson correlation method is used to find out the relationship
among the risk. The findings show that the risk relation varies across the banks and it is difficult to generalize
the risk relationship nature in Malaysian banks. We suggest the banks need to manage the risks based on their
risk portfolio and risk appetite. These findings contribute to enhance the knowledge on risk behaviors and will
be the interest of regulators, investors and industrial players for future making rules, investment decision and
plan the risk management. |
format |
Article |
author |
Htay, Sheila Nu Nu Salman, Syed Ahmed |
author_facet |
Htay, Sheila Nu Nu Salman, Syed Ahmed |
author_sort |
Htay, Sheila Nu Nu |
title |
Is there any relationship among the risks of banks in Malaysia? |
title_short |
Is there any relationship among the risks of banks in Malaysia? |
title_full |
Is there any relationship among the risks of banks in Malaysia? |
title_fullStr |
Is there any relationship among the risks of banks in Malaysia? |
title_full_unstemmed |
Is there any relationship among the risks of banks in Malaysia? |
title_sort |
is there any relationship among the risks of banks in malaysia? |
publisher |
IDOSI Publication |
publishDate |
2014 |
url |
http://irep.iium.edu.my/36464/ http://irep.iium.edu.my/36464/ http://irep.iium.edu.my/36464/1/Is_There_Any_Relationship_among_the_Risks_of_Banks_in_Malaysia.pdf http://irep.iium.edu.my/36464/5/36464_Is%20there%20any%20relationship%20among_SCOPUS.pdf |
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2023-09-18T20:52:15Z |
last_indexed |
2023-09-18T20:52:15Z |
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1777410071748149248 |