PENGARUH EARNINGS PER SHARE, EARNINGS MANAGEMENT, MARKET TO BOOK VALUE OF EQUITY DAN DEBT TO EQUITY RATIO TERHADAP RETURN SAHAM PADA PERUSAHAAN MANUFAKTUR DI BURSA EFEK INDONESIA

FAUSANI, HIKMAH (2018) PENGARUH EARNINGS PER SHARE, EARNINGS MANAGEMENT, MARKET TO BOOK VALUE OF EQUITY DAN DEBT TO EQUITY RATIO TERHADAP RETURN SAHAM PADA PERUSAHAAN MANUFAKTUR DI BURSA EFEK INDONESIA. S2 thesis, Universitas Mercu Buana Jakarta.

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Abstract

This study aims to analyze the phenomenon of changes in company stock returns that are difficult to predict by investors in the capital market. Based on this phenomenon, this study is motivated to analyze factors that influence the company's stock returns in the capital market, and the results are expected to be important information for decision makers or investors in the capital market. The results of this study are also expected to be input for management policies that are intended to increase the value of the company. This study uses a sample with a purposive method as many as 18 companies that are considered to represent companies in the capital market, and make observations of these companies in 2005-2014. The results of this study found that the variables MBVE and DER had a significant effect on stock returns, which means that this variable was responded by investors in the capital market. While the EPS and EM variables have no significant effect on stock returns, which means that these two variables were not responded to by investors in the capital market. Keyword: Stock Return, Financial Ratios, Earnings Management Penelitian ini bertujuan untuk menganalisis fenomena perubahan return saham perusahaan yang sulit di prediksi oleh investor di pasar modal. Berdasarkan fenomena tersebut, maka penelitian ini termotivasi untuk menganalisis faktor yang mempengaruhi return saham perusahaan di pasar modal, dan hasilnya diharapkan menjadi informasi penting bagi pengambil keputusan atau investor di pasar modal. Hasil penelitian ini juga diharapkan menjadi masukan bagi kebijakan manajemen yang dimaksudkan untuk meningkatkan value perusahaan. Penelitian ini menggunakan sampel dengan metode purposive sebanyak 18 perusahaan yang dianggap mewakili perusahaan di pasar modal, dan melakukan pengamatan terhadap perusahaan tersebut dalam tahun 2005-2014. Hasil penelitian ini menemukan bahwa variabel MBVE dan DER berpengaruh signifikan terhadap return saham, yang berarti variabel ini direspon oleh investor di pasar modal. Sedangkan variabel EPS dan EM tidak berpengaruh signifikan terhadap return saham, yang berarti kedua variabel ini tidak direspon oleh investor di pasar modal. Kata kunci: Return Saham, Rasio Keuangan, Manajemen Laba

Item Type: Thesis (S2)
Call Number CD: CD/555. 18 025
NIM/NIDN Creators: 55514120013
Uncontrolled Keywords: Return Saham, Rasio Keuangan, Manajemen Laba
Subjects: 000 Computer Science, Information and General Works/Ilmu Komputer, Informasi, dan Karya Umum > 020 Library and Information Sciences/Perpustakaan dan Ilmu Informasi > 025 Operations, Archives, Information Centers/Operasional Perpustakaan, Arsip dan Pusat Informasi, Pelayanan dan Pengelolaan Perpustakaan > 025.2 Acquisitions and Collection Developtment/Akuisisi dan Pengembangan Koleksi Perpustakaan > 025.26 Acquisition Through Exchange, Gift, Deposit/Akuisisi Melalui Bursa, Hadiah, Deposito
700 Arts/Seni, Seni Rupa, Kesenian > 720 Architecture/Arsitektur > 725 Public Structures Architecture/Arsitektur Struktur Umum > 725.2 Commercial and Communication Buildings/Arsitektur Gedung Perdagangan dan Komunikasi
700 Arts/Seni, Seni Rupa, Kesenian > 720 Architecture/Arsitektur > 725 Public Structures Architecture/Arsitektur Struktur Umum > 725.2 Commercial and Communication Buildings/Arsitektur Gedung Perdagangan dan Komunikasi > 725.25 Exchanges/Bursa
Divisions: Pascasarjana > Magister Akuntansi
Depositing User: Virda Syifa
Date Deposited: 11 Oct 2018 03:17
Last Modified: 21 Dec 2021 04:50
URI: http://repository.mercubuana.ac.id/id/eprint/44993

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