Performance and Risk in Aeon Co. (M). Sdn. Bhd.(2017)
The purposes of this study are to examine the overall performance of AEON C. (M). Sdn. Bhd. with specific risk factors and macroeconomic factor on profitability performance. The data obtained from annual report of AEON C0. (M). Sdn. Bhd. starting from 2011-2015. The measurement of profitability ratio is used to see the overall performance of AEON CO. (M). Sdn. Bhd. in 5 years. The additional measurement is the assets size and the remuneration, this variable has a negative and no significant relationship with ROA. To see the positive relationship with ROA, we using liquidity ratio and Gross Domestic Product (GDP). Data was analysed by using regression.
- Profitability Ratio,
- Liquidity Ratio
Publication DateSpring April 10, 2017
Citation InformationNurulhaq Mohd Ismail. "Performance and Risk in Aeon Co. (M). Sdn. Bhd." (2017)
Available at: http://works.bepress.com/nurulhaq-mohdismail/1/