Question: How do you interpret this Market Risk;s regression on Return on Equity from SPSS? W AutoSave Off BU7002 A2-1822768 - Search (Alt+Q) 4105 X File
How do you interpret this Market Risk;s regression on Return on Equity from SPSS?

W AutoSave Off BU7002 A2-1822768 - Search (Alt+Q) 4105 X File Home Insert Draw Design Layout References Mailings Review View Help Comments Share Calibri (Body) 12 ~ A" A Aa* A a Normal Heading 1 Paste BI U~ x x A LA . No Spacing Editing Dictate Editor Reuse Files Undo Clipboard Font Paragraph Styles Voice Editor | Reuse Files Regression on Market Risk - ROE Coefficients" Standardized Model Summary Unstandardized Coefficients Coefficients Model B Sid. Error Beta Sig- Model R Square Adjusted R Square Std. Error of the Estimate (Constant) 800 36.674 022 986 648* 420 -1.319 5.728 [The institution has a market 4.350 7.015 -.517 . 620 B47 648 420 -1.319 5.728 risk management a. Predictors: (Constant). [The institution has internal guidelines/rules concrete procedures with respect to the committee.] risk management system.], [The institution has a market risk management committee.], [The board has [The board has approved -.100 8.100 -.012 .012 992 approved the market risk strategy-] the market risk strategy.] b. Predictors: (Constant), [The regulators are expected to respond to the new risks inherent in Islamic banks.]. [The institution has internal 4.550 7.015 663 649 834 [The institution has a contingency funding plan for Market.]. [The institution has clear, comprehensive and guidelines/rules concrete well documented policies and procedural guidelines relating to market risk.] procedures with respect to the risk management 1 8. .17. 1. . 6 . . 1 . . .5 . . 1. . .4 . . 1 . . . 3 . . . 1 . . . 2 . 1 . .1 . system.] ANOVA 2 (Constant) 15.700 58.690 .268 Model Sum of Squares of Mean Square Sig. [The institution has a -.100 8.100 .012 -.012 992 Regression 23.782 7.928 242 865 contingency funding plan for Residual 2 805 32.805 Market.] Total 56.588 [The institution has clear, 4.550 7.015 849 834 2 Regression 23.783 7.928 .242 865 comprehensive and well Residual 32 805 32.805 documented policies and Total 56.588 procedural guidelines a. Dependent Variable: ROE relating to market risk.] b. Predictors: (Constant). [The institution has internal guidelines/rules concrete procedures with [The regulators are -.200 8.100 .029 .026 respect to the risk management system.). [The institution has a market risk management expected to respond to the committee.], [The board has approved the market risk strategy.] new risks inherent in Islamic . Predictors: (Constant), [The regulators are expected to respond to the new risks inherent in banks.] Islamic banks.], [The institution has a contingency funding plan for Market.]. [The institution has a. Dependent Variable: Return On Equity clear, comprehensive and well documented policies and procedural guidelines relating to market risk.] Page 41 of 71 14870 words Accessibility: Investigate Focus + 69% Za 79F Mostly cloudy 12:18 AM O O W 1/6/2022
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