Upaya mengoptimalkan strategi manajemen risiko yang efektif bagi perbankan syariah

  • Alkhawarizi Surya Ramadhan Program Studi Perbankan Syariah, Universitas Islam Negeri Maulana Malik Ibrahim Malang
Keywords: Manajemen risiko, Efektif, Kinerja, Perbankan Syariah

Abstract

Risk management is a series of steps and techniques applied to recognize, measure, monitor, and manage risks arising from the operational activities of Islamic banks. The purpose of this study is to analyze effective risk management strategies to improve the performance of Islamic banks. The type of research used in this study is a literature review by investigating and collecting information from various literature sources, such as books, reports, and journal articles. The results that can be concluded from this study are that effective risk management can be achieved by conducting a comprehensive risk analysis starting from identifying risks, measuring risks, monitoring risks and controlling these risks.

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Published
2024-05-31
How to Cite
Ramadhan, A. (2024). Upaya mengoptimalkan strategi manajemen risiko yang efektif bagi perbankan syariah. Maliki Interdisciplinary Journal, 2(5), 36-44. Retrieved from https://urj.uin-malang.ac.id/index.php/mij/article/view/7314
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Articles