Information Sciences Letters
Abstract
The paper aims to review the relation between Corporate Governance, Risk Management and Performance. We reviewed these variables and develop a Theoretical and Analytics framework. First introduction (study background, Problem Statement, Research Objectives and research questions). Second literature review (A) financial performance such as ROA, ROE, EPS and Tobin’s Q, (B) Corporate Governance as Board of Directors, Board Composition, CEO Duality and Board Size (C) Risk Management. Third, we discussed Underpinning Theories such as, Agency Theory and Institutional Theory. Fourth, we developed a Theoretical Framework where we illustrated (A) Corporate Governance and Financial Performance, (B) Risk Management and Financial Performance (C) Compliance with Accounting Standards and Financial Performance. Finally, we developed a comprehensive reviewing based on above variables.
Recommended Citation
Ayoob Mohammed Hassan, Noora; binti Haji Din, Badariah; and Senasi, Vally
(2023)
"The Relation between Corporate Governance, Risk Management and Financial Performance: Theoretical and Analytics Framework,"
Information Sciences Letters: Vol. 12
:
Iss.
4
, PP -.
Available at:
https://digitalcommons.aaru.edu.jo/isl/vol12/iss4/40