DETERMINAN RENTABILITAS BANK UMUM BUKU-4 DI INDONESIA
Abstract
References
Almazari, A. A. (2014). Impact of Internal Factors on Bank Profitability: Comparative Study between Saudi Arabia and Jordan. Journal of Applied Finance & Banking, 4(1), 1-7.
Baltagi, B. H. (2008). Econometrics (4th ed.). Springer.
Beck, T., & Hesse, H. (2009). Why are interest spreads so high in Uganda. Journal of Development Economics, 88, 192–204.
Brigham, E. F., & Houston, J. F. (2011). Dasar-Dasar Manajemen Keuangan (11th ed., Vol. 2). (A. A. Yulianto, Trans.) Jakarta: Salemba Empat.
Brooks, C. (2008). Introductory Econometrics for Finance (2nd ed.). Cambridge University Press.
Chan, C. W., & Lopez, V. (2014, July-Augustus). A Qualitative Descriptive Study of Risk Reduction for Coronary Disease among the Hong Kong Chinese. Public Health Nursing (PHN), 31(4), 327-335.
Creswell, J. W. (2012). Educational research: Planning, conducting and evaluating quantitative and qualititative research (4th ed.). Boston: Pearson.
Creswell, J. W. (2014). Research Design: Qualitative, Quantitative, & Mixed Methods Approaches (4th ed.). London: Sage Publications, Ltd.
Gujarati, D. N., & Porter, D. C. (2010). ESSENTIALS OF ECONOMETRICS (Fourth ed.). New York: McGraw-Hill/Irwin.
Hou, X., Wang, Q., & Li, C. (2015). Role of off-balance sheet operations on bank scale economies: Evidence from China's banking sector. Emerging Markets Review, 22, 140-153.
Kaufman, G. G. (2013, June). TOO BIG TO FAIL IN BANKING: WHAT DOES IT MEAN? Paper Series, SPECIAL PAPER 222. LSE FINANCIAL MARKETS GROUP SPECIAL PAPER SERIES.
Kevin, A. (2018, Maret 29). cnbcindonesia.com. Retrieved Maret 6, 2019, from CNBC INDONESIA: https://www.cnbcindonesia.com/market/20180329163505-17-9072/bank-domestik-terlalu-serakah-keruk-nim
Koran Jakarta. (2018, May 23). http://www.koran-jakarta.com. Retrieved February 25, 2019, from http://www.koran-jakarta.com/marjin-bunga-bank-terlalu-tinggi/
Lincoln, Y. S., & Guba, E. G. (2013). The Constructivist Credo. Walnut Creek: Left Coast Press, Inc.
López-Espinosa, G. M. (2011). Banks’ net interest margin in the 2000s: A macro-accounting international perspective. Journal of International Money and Finance, 30, 1214–1233.
Mankiw, N. G. (2018). Principle of Microeconomics (Eight ed.). Boston: Cengage Learning.
Maudos, J., & Solís, L. (2009). The determinants of net interest income in the Mexican banking system: an integrated model. Journal of Banking & Finance, 33, 1920-1931.
Maudosa, J., & Guevara, J. F. (2004). Factors explaining the interest margin in the banking sectors of the European Union. Journal of Banking & Finance, 28, 2259–2281.
Montgomery, D. C., Peck, E. A., & Vining, G. G. (2012). Introduction to linear regression analysis (5th ed.). Willey.
Neuman, W. L. (2007). Basic of Social Research: Qualitative & Quantitative Approaches (2nd ed.). Pearson Education, Inc.
Neuman, W. L. (2014). Social Research Methods: Qualitative and Quantitative Approaches (7th ed.). Harlow: Pearson Education Limited.
OJK. (2017, Maret 17). SURAT EDARAN OTORITAS JASA KEUANGAN NOMOR 14/SEOJK.03/2017. Surat Edaran. Jakarta, Indonesia: OJK.
OJK. (2020). Satistik Perbankan Indonesia. Jakarta: OJK-Indonesia.
Otoritas Jasa Keuangan. (2015). KEWAJIBAN PEMENUHAN RASIO KECUKUPAN LIKUIDITAS. Peraturan OJK NOMOR 42/POJK.03/2015. Jakarta, Indonesia: OJK.
Otoritas Jasa Keuangan. (2015). Staitistik Perbankan Indonesia 2018. Jakarta: OJK.
Otoritas Jasa Keuangan. (2017, Maret 17). SURAT EDARAN OTORITAS JASA KEUANGAN NOMOR 14/SEOJK.03/2017. Surat Edaran. Jakarta, Indonesia: OJK.
PWC Indonesia. (2018). 2018 Indonesia Banking Survey: Technology shift in Indonesia is underway. Jakarta: PWC.
Schildbach, J. (2017, April 25). Large or small? How to measure bank size. Horses for courses. Frankfurt, Germany: Deutsche Bank Research.
Staikouras, C. K., & Wood, G. E. (2004). The Determinants Of European Bank Profitability. International Business & Economics Research Journal, 3(6), 57-68.
Terraza, V. (2015). The effect of bank size on risk ratios: Implications of banks’ performance. Procedia Economics and Finance, 30, 903 – 909.
Thich, P. D. (2017). Determinants of Banks’ Profitability: Empirical Evidence from Vietnam. Review of Business and Economics Studies, 5(4), 37-45.
Ullah, A. (2004). Finite Sample Econometrics: Advance Text in Econometrics (1st ed.). New York: Oxford University Press.
Wooldridge, J. M. (2002). Introductory Econometrics: A Modern Approach (2nd ed.). South-Western.
Zhou, K., & Wong, M. C. (2008). The Determinants of Net Interest Margins of Commercial Banks in Mainland China. Emerging Markets Finance & Trade, 44(5), 41-53.