ANALISIS RISK PROFILE PADAnPT. BANK NEGARA INDONESIA (PERSERO), TBK. PERIODE 2007-2011 DITINJAU DARI RISIKO LIKUIDITAS
Abstract: This study
aims to determine
liquidity risk in
BNI period 2007-2011,
which refers to the attachment 13/24/DPNP
Bank of Indonesia
Number 25 October
2011. This research
uses descriptive quantitative method with secondary data from published
financial statements PT BNI Tbk
period 2007-2011. The
results showed that
channeling funds for
operational activities in liquid
assets BNI increased
from year to
year, but the
rate of return
of their funding
ratios relative decline, so the magnitude of the risks must be borne by
BNI on bad debt level (NPL) are also
getting bigger. However
on the approach
of total liabilities
of commitment and contigencies, BNI
increased significantly, which
indicates that the
operational activities of the
BNI increased.
Keywords: Non Performing Loan,
Liquidity, Liquidity Risk
Penulis: Sindy Dwi Wulandari
Kode Jurnal: jpakuntansidd130021