Conceptual framework of bank's financial stability, governance mechanisms, regulation and risk management in the Kingdom of Saudi Arabia

Risk-taking is part and parcel of several organizations. In practical sense, risk management assisted the organization in meeting their underline objectives in spite of associated risks. To achieve this, financial institutions employs risk policies as well as frameworks that is suitable for their bu...

Full description

Saved in:
Bibliographic Details
Main Authors: Althubaiti, Shroq Ayedh, Abdul Rasid, Siti Zaleha
Format: Article
Language:English
Published: HRMARS 2020
Subjects:
Online Access:http://eprints.utm.my/id/eprint/91708/1/ShroqAyedhAlthubaiti2020_ConceptualFrameworkofBanksFinancial.pdf
http://eprints.utm.my/id/eprint/91708/
http://dx.doi.org/10.6007/IJARBSS/v10-i3/7022
Tags: Add Tag
No Tags, Be the first to tag this record!
Institution: Universiti Teknologi Malaysia
Language: English
id my.utm.91708
record_format eprints
spelling my.utm.917082021-07-27T05:46:12Z http://eprints.utm.my/id/eprint/91708/ Conceptual framework of bank's financial stability, governance mechanisms, regulation and risk management in the Kingdom of Saudi Arabia Althubaiti, Shroq Ayedh Abdul Rasid, Siti Zaleha HD61 Risk Management HF Commerce Risk-taking is part and parcel of several organizations. In practical sense, risk management assisted the organization in meeting their underline objectives in spite of associated risks. To achieve this, financial institutions employs risk policies as well as frameworks that is suitable for their business operations. This study presents financial performance enhancement model for banking industry in the Kingdom of Saudi Arabia. This study aim to review impact of regulation on risk management and explore effectiveness of the role of board directors between capital adequacy and risk management. This study evaluates board director’s effectiveness based on five characteristics; size, independence, meeting, age diversity, and board committee. HRMARS 2020-03 Article PeerReviewed application/pdf en http://eprints.utm.my/id/eprint/91708/1/ShroqAyedhAlthubaiti2020_ConceptualFrameworkofBanksFinancial.pdf Althubaiti, Shroq Ayedh and Abdul Rasid, Siti Zaleha (2020) Conceptual framework of bank's financial stability, governance mechanisms, regulation and risk management in the Kingdom of Saudi Arabia. International Journal of Academic Research in Business and Social Sciences, 10 (3). pp. 54-76. ISSN 2222-6990 http://dx.doi.org/10.6007/IJARBSS/v10-i3/7022 DOI:10.6007/IJARBSS/v10-i3/7022
institution Universiti Teknologi Malaysia
building UTM Library
collection Institutional Repository
continent Asia
country Malaysia
content_provider Universiti Teknologi Malaysia
content_source UTM Institutional Repository
url_provider http://eprints.utm.my/
language English
topic HD61 Risk Management
HF Commerce
spellingShingle HD61 Risk Management
HF Commerce
Althubaiti, Shroq Ayedh
Abdul Rasid, Siti Zaleha
Conceptual framework of bank's financial stability, governance mechanisms, regulation and risk management in the Kingdom of Saudi Arabia
description Risk-taking is part and parcel of several organizations. In practical sense, risk management assisted the organization in meeting their underline objectives in spite of associated risks. To achieve this, financial institutions employs risk policies as well as frameworks that is suitable for their business operations. This study presents financial performance enhancement model for banking industry in the Kingdom of Saudi Arabia. This study aim to review impact of regulation on risk management and explore effectiveness of the role of board directors between capital adequacy and risk management. This study evaluates board director’s effectiveness based on five characteristics; size, independence, meeting, age diversity, and board committee.
format Article
author Althubaiti, Shroq Ayedh
Abdul Rasid, Siti Zaleha
author_facet Althubaiti, Shroq Ayedh
Abdul Rasid, Siti Zaleha
author_sort Althubaiti, Shroq Ayedh
title Conceptual framework of bank's financial stability, governance mechanisms, regulation and risk management in the Kingdom of Saudi Arabia
title_short Conceptual framework of bank's financial stability, governance mechanisms, regulation and risk management in the Kingdom of Saudi Arabia
title_full Conceptual framework of bank's financial stability, governance mechanisms, regulation and risk management in the Kingdom of Saudi Arabia
title_fullStr Conceptual framework of bank's financial stability, governance mechanisms, regulation and risk management in the Kingdom of Saudi Arabia
title_full_unstemmed Conceptual framework of bank's financial stability, governance mechanisms, regulation and risk management in the Kingdom of Saudi Arabia
title_sort conceptual framework of bank's financial stability, governance mechanisms, regulation and risk management in the kingdom of saudi arabia
publisher HRMARS
publishDate 2020
url http://eprints.utm.my/id/eprint/91708/1/ShroqAyedhAlthubaiti2020_ConceptualFrameworkofBanksFinancial.pdf
http://eprints.utm.my/id/eprint/91708/
http://dx.doi.org/10.6007/IJARBSS/v10-i3/7022
_version_ 1706956983022649344