ANALISIS PENGARUH RASIO KEUANGAN EARLY WARNING SYSTEM DAN RISK BASED CAPITAL TERHADAP RETURN SAHAM (studi kasus perusahaan asuransi umum yang terdaftar dibursa efek indonesia periode 2010-2014)

DEWI, GRANIA KUNTI (2015) ANALISIS PENGARUH RASIO KEUANGAN EARLY WARNING SYSTEM DAN RISK BASED CAPITAL TERHADAP RETURN SAHAM (studi kasus perusahaan asuransi umum yang terdaftar dibursa efek indonesia periode 2010-2014). S2 thesis, Universitas Mercu Buana Jakarta - Menteng.

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Abstract

This study aims to analyze the effect of financial ratios of Early Warning System (EWS) that include incurred ratio, liabilities to liquid assets ratio, agents’ balance to surplus ratio, premium growth ratio, and Risk Based Capital (RBC) on stock return, either simultaneously or partially, at the insurance company in Indonesia. The population in this study are all insurance companies listed on the BEI in the period 2010-2014 amounted 10 companies. Sampling method performed with saturated sampling, which means all of population can be sampled. The method of analysis in this study is multiple linear regression, where stock return as dependent variable and incurred ratio, liabilities to liquid assets ratio, agents’ balance to surplus ratio, premium growth ratio, and Risk Based Capital (RBC) as independent variables. The result showed that all of independent variables are having significant influence on stock return simultaneously. Partially, liabilities to liquid assets ratio and RBC have positive significant effect on stock return, while incurred ratio and agents’ balance to surplus ratio have a significant negative effect. Premium growth ratio has no significant influence on stock return. Keyword : incurred ratio, liabilities to liquid assets ratio, agents’ balance to surplus ratio, premium growth ratio, Risk Based Capital, stock return.

Item Type: Thesis (S2)
Call Number CD: CDT-551-15-247
NIM/NIDN Creators: 55113120118
Uncontrolled Keywords: incurred ratio, liabilities to liquid assets ratio, agents’ balance to surplus ratio, premium growth ratio, Risk Based Capital, stock return. MKU, MANAJEMEN KEUANGAN
Subjects: 600 Technology/Teknologi > 650 Management, Public Relations, Business and Auxiliary Service/Manajemen, Hubungan Masyarakat, Bisnis dan Ilmu yang Berkaitan > 658 General Management/Manajemen Umum
Divisions: Pascasarjana > Magister Manajemen
Depositing User: Rokhyudi
Date Deposited: 16 Apr 2018 07:47
Last Modified: 06 Jul 2022 04:25
URI: http://repository.mercubuana.ac.id/id/eprint/41893

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