Pengaruh Strategi Portofolio Kredit terhadap Risiko Kredit Perbankan di Indonesia dengan Tata Kelola Perusahaan sebagai Variabel Pemoderasi

Kembuan, Dymas Timothy and Rahman, Ilham Fathur and Setiawan, Naomi (2019) Pengaruh Strategi Portofolio Kredit terhadap Risiko Kredit Perbankan di Indonesia dengan Tata Kelola Perusahaan sebagai Variabel Pemoderasi. Other thesis, Universitas Prasetiya Mulya.

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Abstract

Penelitian ini dilakukan bertujuan untuk mengetahui pengaruh strategi fokus portofolio kredit terhadap risiko kredit perbankan di Indonesia serta menambahkan variabel pemoderasi tata kelola perusahaan untuk melihat apakah pengaruh yang ada diperkuat atau diperlemah. Data yang digunakan terdiri dari 40 bank umum konvensional yang tercatat di Bursa Efek Indonesia dalam periode 2013-2018. Hasil penelitian menjelaskan bahwa strategi fokus portofolio kredit berpengaruh negatif signifikan terhadap risiko kredit dan jika ada variabel pemoderasi kepemilikan institusional, pengaruh strategi fokus portofolio kredit diperlemah dengan menambahkan ukuran bank sebagai variabel kontrol. Hal ini menandakan bahwa strategi fokus portofolio kredit mampu menurunkan tingkat risiko kredit.

Item Type: Thesis (Other)
Uncontrolled Keywords: Portfolio Focus Strategy, Credit Risk, Bank Size, Corporate Governance, Institutional Ownership
Subjects: H Social Sciences > HG Finance
Divisions: School of Business and Economics > S1 Finance and Banking
Depositing User: Librarian 04 at Universitas Prasetiya Mulya
Date Deposited: 03 Mar 2026 16:03
Last Modified: 03 Mar 2026 16:03
URI: https://elib.prasetiyamulya.ac.id/id/eprint/1214

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