EMPIRICAL EVIDENCE OF RISK AND PERFORMANCE: TOP GLOVE CORPORATION BERHAD(2017)
The purpose of this study is desired to examine the profitability performance of Top Glove Corporation Berhad with some risk factors (liquidity risk, operating risk) and macroeconomic factors. This study was according to the annual report data of Top Glove from year 2011 to year 2015. It shows that there are negative relationship between the company’s profitability and the operating ratio. By using the IBM SPSS Statistics software and add some measurement such as GDP, inflation rate, asset size to get more accurate statistics. After the calculation, profitability performance of top Glove has an insignificant negative correlation relationship with liquidity ratio, operating ratio, leverage and GDP. There are only one factor shows inflation is significant to the profitability of the company.
- Credit Risk,
- Performance and Macroeconomic,
Publication DateSpring April 17, 2017
Citation Informationlim yu zhi. "EMPIRICAL EVIDENCE OF RISK AND PERFORMANCE: TOP GLOVE CORPORATION BERHAD" (2017)
Available at: http://works.bepress.com/lim-yuzhi/1/