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The Role Of Corporate Governance And Its Impact On Risk And Firm Performance Of Real Estate Industry: Amanahraya Reit

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  • Mohamad, Wahidah

Abstract

This study examines the performance of Amanahraya Real Estate Investment Trusts (ARREIT) with risk factor and macroeconomic factor towards profitability performance. The information from annual report of ARREIT starting from 2011-2015. This study can assist investors, regulatory body, fund managers and academics to make a better informed investment decision on Malaysia REITs. This study has provided interesting and important information and insights into the performance of Malaysia REITs. There are internal and external factors which are return on assets, return on equity, return on investment, current ratio, total assets turnover and debt ratio.

Suggested Citation

  • Mohamad, Wahidah, 2017. "The Role Of Corporate Governance And Its Impact On Risk And Firm Performance Of Real Estate Industry: Amanahraya Reit," MPRA Paper 78594, University Library of Munich, Germany.
  • Handle: RePEc:pra:mprapa:78594
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    References listed on IDEAS

    as
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    2. Shahchera , Mahshid, 2012. "The Impact of Liquidity on Iranian Bank Profitability," Journal of Money and Economy, Monetary and Banking Research Institute, Central Bank of the Islamic Republic of Iran, vol. 7(1), pages 139-160, October.
    3. Bourke, Philip, 1989. "Concentration and other determinants of bank profitability in Europe, North America and Australia," Journal of Banking & Finance, Elsevier, vol. 13(1), pages 65-79, March.
    4. Étienne Bordeleau & Christopher Graham, 2010. "The Impact of Liquidity on Bank Profitability," Staff Working Papers 10-38, Bank of Canada.
    5. Waeibrorheem Waemustafa & Azrul Abdullah, 2015. "Mode of Islamic Bank Financing: Does Effectiveness of Shariah Supervisory Board Matter?," Post-Print halshs-01509026, HAL.
    6. 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.
    7. Aebi, Vincent & Sabato, Gabriele & Schmid, Markus, 2012. "Risk management, corporate governance, and bank performance in the financial crisis," Journal of Banking & Finance, Elsevier, vol. 36(12), pages 3213-3226.
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    More about this item

    Keywords

    Credit risk; liquidity; profitability and macroeconomics.;
    All these keywords.

    JEL classification:

    • G3 - Financial Economics - - Corporate Finance and Governance

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