PENGARUH RISIKO PASAR DAN RISIKO LIKUIDITAS TERHADAP KINERJA KEUANGAN PERUSAHAAN PADA BANK UMUM SWASTA YANG TERDAFTAR DI BURSA EFEK INDONESIA PERIODE 2018-2022

Ayu Puspita Sari, Anggita Langgeng Wijaya, Liliek Nur Sulistiyowati

Abstract


The purpose of this study was to determine whether there is an effect of market risk and liquidity risk on the company's financial performance at Private Commercial Banks listed on the Indonesia Stock Exchange for the 2018-2022 Period. The research sample was 170 observation samples. This study uses purposive sampling method (purposive or judgment sampling). The analysis methods used in this study are testing instrument requirements, testing analytical requirements for multiple regression, testing classical assumption regression analysis requirements, and testing hypotheses with simultaneous tests (F-test), partial tests (T-test) using SPSS software. The results of this study market risk have a positive and significant effect on financial performance. Liquidity risk has no significant effect on financial performance, market risk and liquidity risk simultaneously have a significant and positive effect on financial performance..

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