Financial performance of the Standard Chartered Bank Malaysia Berhad: before and after financial crisis year 2008 / Nur’ Ain Hamzah

In 2008 economic crisis which is sub prime mortgage crisis has been hit the global economy, and it give impact to a financial institution. There are many researches have been conduct in order to explore the performance of the bank before and after financial crisis in literature such as Berger and Bo...

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محفوظ في:
التفاصيل البيبلوغرافية
المؤلف الرئيسي: Hamzah, Nur’ Ain
التنسيق: Student Project
اللغة:English
منشور في: Faculty of Business and Management 2011
الموضوعات:
الوصول للمادة أونلاين:http://ir.uitm.edu.my/id/eprint/26223/1/PPb_NUR%E2%80%99%20AIN%20HAMZAH%20BM%20M%2011_5.pdf
http://ir.uitm.edu.my/id/eprint/26223/
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spelling my.uitm.ir.262232020-01-23T06:59:25Z http://ir.uitm.edu.my/id/eprint/26223/ Financial performance of the Standard Chartered Bank Malaysia Berhad: before and after financial crisis year 2008 / Nur’ Ain Hamzah Hamzah, Nur’ Ain Finance and cycles. Financial crises. Convergence (Economics) Balance sheets. Financial statements. Including corporation reports. Financial reporting. Financial disclosure In 2008 economic crisis which is sub prime mortgage crisis has been hit the global economy, and it give impact to a financial institution. There are many researches have been conduct in order to explore the performance of the bank before and after financial crisis in literature such as Berger and Bouwman (2008), Anggelopoulos et al. (2010) and Bancel and Mittoo (2010). This study tries is to determine impact from financial crisis in year 2008 of Standard Chartered Bank Malaysia Berhad. By using ratio analysis, it can look performance of the bank from their profitability, liquidity, solvency, activity and market ratio of the bank. From the finding of this study, it shows that Standard Chartered Bank Malaysia Berhad get the impact from the financial crisis in 2008. However, after financial crisis which is in year 2009 and 2010 the performance of the bank still show the effect from the crisis in 2008. Besides that the performance of the bank before the financial crisis which is in year 2006 and 2007 was not really effected which means the performance of the bank still in constant. As overall, the performance of the bank was depending on the economic environment. Faculty of Business and Management 2011 Student Project NonPeerReviewed text en http://ir.uitm.edu.my/id/eprint/26223/1/PPb_NUR%E2%80%99%20AIN%20HAMZAH%20BM%20M%2011_5.pdf Hamzah, Nur’ Ain (2011) Financial performance of the Standard Chartered Bank Malaysia Berhad: before and after financial crisis year 2008 / Nur’ Ain Hamzah. [Student Project] (Unpublished)
institution Universiti Teknologi Mara
building Tun Abdul Razak Library
collection Institutional Repository
continent Asia
country Malaysia
content_provider Universiti Teknologi Mara
content_source UiTM Institutional Repository
url_provider http://ir.uitm.edu.my/
language English
topic Finance and cycles. Financial crises. Convergence (Economics)
Balance sheets. Financial statements. Including corporation reports. Financial reporting. Financial disclosure
spellingShingle Finance and cycles. Financial crises. Convergence (Economics)
Balance sheets. Financial statements. Including corporation reports. Financial reporting. Financial disclosure
Hamzah, Nur’ Ain
Financial performance of the Standard Chartered Bank Malaysia Berhad: before and after financial crisis year 2008 / Nur’ Ain Hamzah
description In 2008 economic crisis which is sub prime mortgage crisis has been hit the global economy, and it give impact to a financial institution. There are many researches have been conduct in order to explore the performance of the bank before and after financial crisis in literature such as Berger and Bouwman (2008), Anggelopoulos et al. (2010) and Bancel and Mittoo (2010). This study tries is to determine impact from financial crisis in year 2008 of Standard Chartered Bank Malaysia Berhad. By using ratio analysis, it can look performance of the bank from their profitability, liquidity, solvency, activity and market ratio of the bank. From the finding of this study, it shows that Standard Chartered Bank Malaysia Berhad get the impact from the financial crisis in 2008. However, after financial crisis which is in year 2009 and 2010 the performance of the bank still show the effect from the crisis in 2008. Besides that the performance of the bank before the financial crisis which is in year 2006 and 2007 was not really effected which means the performance of the bank still in constant. As overall, the performance of the bank was depending on the economic environment.
format Student Project
author Hamzah, Nur’ Ain
author_facet Hamzah, Nur’ Ain
author_sort Hamzah, Nur’ Ain
title Financial performance of the Standard Chartered Bank Malaysia Berhad: before and after financial crisis year 2008 / Nur’ Ain Hamzah
title_short Financial performance of the Standard Chartered Bank Malaysia Berhad: before and after financial crisis year 2008 / Nur’ Ain Hamzah
title_full Financial performance of the Standard Chartered Bank Malaysia Berhad: before and after financial crisis year 2008 / Nur’ Ain Hamzah
title_fullStr Financial performance of the Standard Chartered Bank Malaysia Berhad: before and after financial crisis year 2008 / Nur’ Ain Hamzah
title_full_unstemmed Financial performance of the Standard Chartered Bank Malaysia Berhad: before and after financial crisis year 2008 / Nur’ Ain Hamzah
title_sort financial performance of the standard chartered bank malaysia berhad: before and after financial crisis year 2008 / nur’ ain hamzah
publisher Faculty of Business and Management
publishDate 2011
url http://ir.uitm.edu.my/id/eprint/26223/1/PPb_NUR%E2%80%99%20AIN%20HAMZAH%20BM%20M%2011_5.pdf
http://ir.uitm.edu.my/id/eprint/26223/
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score 13.154905