Long Term for Macroeconomic and Shariah Banking With Cointegration
Keywords:
IRF, FEVD, Macroeconomics, Financial Performance of Islamic BankAbstract
This study aims to see how the relationship between macroeconomic Indonesia that can affect the ratio of sharia banks indirectly, a case study on a syariah bank in Indonesia is the bank muamalat. in this study using descriptive statistical data analysis and cointegration test. In the result is not the long-term relationship for the variable in detail.
References
- Nopirin, 2000, Pengantar Ilmu Ekonomi Makro Dan Mikro, Ed. 1, Yogyakarta: BPFE Universitas Gadjah Mada.
- Sahara, Ayu Yanita, 2013, Analisis Pengaruh Inflasi, Suku Bunga BI dan Produk Domestic Bruto Terhadap Return On Asset (ROA) Bank Syariah di Indonesia, Jurnal Ilmu Manajemen, Vol. 1, No. 1, Januari 2013.
- Siamat, Dahlan. 2005. Manajemen Lembaga keuangan, Ed. 4, Jakarta: BP Fakultas Ekonomi Universitas Indonesia.
- Srairi, Samir Abderrazek. 2009. “Factor Influencing the Profitability of Conventional and Islamic Commercial Banks in GCC Countries”, Review of Islamic Economics, Vol. 13, No. 1, 2009.
- Ouliaris, S. Pagan, A.R. and Restrepo, J. (2016) Quantitative Macroeconomic Modeling with Structural Vector Autoregressions An EViews Implementation, IMF Publications.
- Wooldridge, Jeffrey (2013). Intr3oductory Econometrics, A modern approach. South-Western, Cengage learning. ISBN 978-1-111-53104-1.
- Ouliaris, S. Pagan, A.R. and Restrepo, J. (2016) Quantitative Macroeconomic Modeling with Structural Vector Autoregressions An EViews Implementation, IMF Publications.
Downloads
Published
Issue
Section
License
Copyright (c) IJSRST

This work is licensed under a Creative Commons Attribution 4.0 International License.