IDEAS home Printed from https://ideas.repec.org/p/pra/mprapa/78804.html
   My bibliography  Save this paper

Performance and Risk of Macroeconomics Factors: Empirical evidence from Silver Ridge Holdings

Author

Listed:
  • Lourdes, Joan Salome

Abstract

The objective of this study is to examine the performance of Sliver Ridge Holdings Berhad as a whole with clearly defined risk factors and macroeconomic influence that contribute to its performance. The data is obtained from the yearly report of Silver Ridge Holdings Berhad from 2011-2015. Liquidity ratio and operating ratio measurement are used to view the performance of this company as a whole in a period of 5 years. In addition to it, the asset size measurement to the liquidity ratio has taken into consideration. The asset size has a negative relationship with liquidity risk. The higher the asset size increased, the lesser the liquidity risk occurred. To determine the relationship between the factors of risk to the profitability of this company, this study is using liquidity ratio (quick ratio), GDP and also the operating ratio. At the end of this paper, the factor that is significant to the profitability of this company is the operation and liquidity. The GDP has a positive and negative relationship throughout the 5 years.

Suggested Citation

  • Lourdes, Joan Salome, 2017. "Performance and Risk of Macroeconomics Factors: Empirical evidence from Silver Ridge Holdings," MPRA Paper 78804, University Library of Munich, Germany, revised 26 Apr 2017.
  • Handle: RePEc:pra:mprapa:78804
    as

    Download full text from publisher

    File URL: https://mpra.ub.uni-muenchen.de/78804/1/MPRA_paper_78804.pdf
    File Function: original version
    Download Restriction: no
    ---><---

    References listed on IDEAS

    as
    1. Waeibrorheem Waemustafa & Azrul Abdullah, 2015. "Mode of Islamic Bank Financing: Does Effectiveness of Shariah Supervisory Board Matter?," Post-Print halshs-01509026, HAL.
    2. Waeibrorheem Waemustafa & Suriani Sukri, 2016. "Systematic and Unsystematic Risk Determinants of Liquidity Risk Between Islamic and Conventional Banks," International Journal of Economics and Financial Issues, Econjournals, vol. 6(4), pages 1321-1327.
    3. Waeibrorheem Waemustafa & Suriani Sukri, 2015. "Bank Specific and Macroeconomics Dynamic Determinants of Credit Risk in Islamic Banks and Conventional Banks," International Journal of Economics and Financial Issues, Econjournals, vol. 5(2), pages 476-481.
    Full references (including those not matched with items on IDEAS)

    Most related items

    These are the items that most often cite the same works as this one and are cited by the same works as this one.
    1. Othaman, Ridhuan, 2017. "Performance and Size of Fraser & Neave Holdings Bhd (F&N)," MPRA Paper 78503, University Library of Munich, Germany.
    2. Shahardin, Nur'Izzate Iwana, 2017. "Monitoring Performance of Maybank Berhad in the Presence of Risk," MPRA Paper 78681, University Library of Munich, Germany.
    3. Ramlan, Nur Hu Yani, 2017. "Firm Risk and Performance: The Role of Corporate Governance in Bertam Alliance Berhad," MPRA Paper 78378, University Library of Munich, Germany, revised 01 Apr 2017.
    4. Abdullah, Nur Shahila, 2018. "Corporate Governance and Performance of Hotel Industry (Ihi)," MPRA Paper 86824, University Library of Munich, Germany, revised 20 May 2018.
    5. Azmi, Siti Nor Aisyah, 2023. "Corporate Governance and Its Determinants: A Study of Pharmaniaga Sdn Bhd," MPRA Paper 119806, University Library of Munich, Germany.
    6. Sofi, Farah Nuramalina, 2017. "The Relationship of RHB Bank Berhad’s Profitability with Leverage and Size (Total Asset)," MPRA Paper 78499, University Library of Munich, Germany.
    7. Lim, Pei Shan, 2017. "Study of Relationship Between Performance (ROA) And Internal And External Factors On Axiata Group Berhad," MPRA Paper 78459, University Library of Munich, Germany, revised 17 Apr 2017.
    8. Kiew, sockyan, 2017. "Firm Risk and Performance: The Role of Corporate Governance of Digi Telecommunication Berhad," MPRA Paper 78313, University Library of Munich, Germany.
    9. Ramlan, Siti Noreiza, 2017. "Gender Diversity In The Hermes Paris Boardroom And Risk Management," MPRA Paper 78385, University Library of Munich, Germany.
    10. Song, Wei Ying, 2017. "The Performance and Risk of Heineken Malaysia Berhad," MPRA Paper 78363, University Library of Munich, Germany.
    11. Abdul Karim, Muhammad Zahisyam, 2017. "Financial Risk and Performance: Empirical Evidence from OCBC Bank (Malaysia) Berhad," MPRA Paper 78348, University Library of Munich, Germany.
    12. Ramarow, Sirivige, 2017. "The Relationship between Profitability and the Risk Factors and other Macroeconomic Factors," MPRA Paper 78625, University Library of Munich, Germany, revised 19 Apr 2017.
    13. Sylvester Andreas, Flora Kumang, 2017. "Evaluation the Impact of Specific Risk Factors on Inventory Turnover and Macroeconomics: Evidence from KUB Malaysia Sdn Bhd," MPRA Paper 78504, University Library of Munich, Germany.
    14. Rosli, Aini Rafiqah, 2017. "The Relationship Between Hong Leong Bank’s Performance with Leverage and Inflation," MPRA Paper 78500, University Library of Munich, Germany.
    15. Harun, Nur Ilyani, 2017. "Corporate Governance and Performance of United Malacca Berhad," MPRA Paper 78381, University Library of Munich, Germany.
    16. Azmi, Nurul Najwanie Fatiehah, 2023. "A Study on KPJ Healthcare Sdn Bhd in Malaysia Performance and Its Determinants," MPRA Paper 119810, University Library of Munich, Germany.
    17. Jamalludin, Nadia, 2017. "Risk and Performance of SapuraKencana Petroleum Berhad," MPRA Paper 78423, University Library of Munich, Germany.
    18. Nayan, Norma, 2017. "Performance and Risk: Empirical Evidence from Petroliam Nasional Berhad (PETRONAS)," MPRA Paper 78344, University Library of Munich, Germany.
    19. Al-Anshari, Thalhah, 2017. "Firm Risk And Performance: Spritzer Berhad," MPRA Paper 78507, University Library of Munich, Germany.
    20. Harun, Nur Ilyani, 2017. "Performance and Risk of IOI Corporation Berhad," MPRA Paper 78522, University Library of Munich, Germany.

    More about this item

    Keywords

    Liquidity risk; Operational Ratio; Profitability; GDP; Asset size;
    All these keywords.

    JEL classification:

    • G0 - Financial Economics - - General
    • G1 - Financial Economics - - General Financial Markets
    • G2 - Financial Economics - - Financial Institutions and Services
    • G3 - Financial Economics - - Corporate Finance and Governance

    Statistics

    Access and download statistics

    Corrections

    All material on this site has been provided by the respective publishers and authors. You can help correct errors and omissions. When requesting a correction, please mention this item's handle: RePEc:pra:mprapa:78804. See general information about how to correct material in RePEc.

    If you have authored this item and are not yet registered with RePEc, we encourage you to do it here. This allows to link your profile to this item. It also allows you to accept potential citations to this item that we are uncertain about.

    If CitEc recognized a bibliographic reference but did not link an item in RePEc to it, you can help with this form .

    If you know of missing items citing this one, you can help us creating those links by adding the relevant references in the same way as above, for each refering item. If you are a registered author of this item, you may also want to check the "citations" tab in your RePEc Author Service profile, as there may be some citations waiting for confirmation.

    For technical questions regarding this item, or to correct its authors, title, abstract, bibliographic or download information, contact: Joachim Winter (email available below). General contact details of provider: https://edirc.repec.org/data/vfmunde.html .

    Please note that corrections may take a couple of weeks to filter through the various RePEc services.

    IDEAS is a RePEc service. RePEc uses bibliographic data supplied by the respective publishers.