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

Artikel Terkait :