ROSALINA, ELIZABETH (2017) ANALISIS PENGARUH CURRENT RATIO, NET PROFIT MARGIN, DAN DEBT TO ASSET RATIO TERHADAP STOCK RETURN (Studi Kasus Pada Perusahaan Properti dan Real Estate yang Terdaftar di Bursa Efek Indonesia Periode Tahun 2012 – 2016). S1 thesis, Universitas Mercu Buana Bekasi.
|
Text
01. Halaman Judul.pdf Download (79kB) | Preview |
|
|
Text
02. Abstrak.pdf Download (170kB) | Preview |
|
|
Text
03. Surat Pernyataan.pdf Download (298kB) | Preview |
|
|
Text
04. Lembar Pengesahan.pdf Download (356kB) | Preview |
|
|
Text
05. Kata Pengantar.pdf Download (183kB) | Preview |
|
|
Text
06. Daftar Isi.pdf Download (204kB) | Preview |
|
|
Text
07. Daftar Tabel.pdf Download (99kB) | Preview |
|
|
Text
08. Daftar Gambar.pdf Download (98kB) | Preview |
|
|
Text
09. Daftar Lampiran.pdf Download (134kB) | Preview |
|
Text
10. Bab 1.pdf Restricted to Registered users only Download (301kB) |
||
Text
11. Bab 2.pdf Restricted to Registered users only Download (468kB) |
||
Text
13. Bab 4.pdf Restricted to Registered users only Download (412kB) |
||
Text
14. Bab 5.pdf Restricted to Registered users only Download (248kB) |
||
Text
15. Daftar Pustaka.pdf Restricted to Registered users only Download (297kB) |
||
Text
16. Lampiran.pdf Restricted to Repository staff only Download (212kB) |
Abstract
ABSTRACT This research aims to know the influence of financial performance consisting of Current Ratio, Net Profit Margin, and Debt To Asset Ratio either partially or simultaneously to Stock Return. The object for this research is property and real estate companies listed on the Indonesia Stock Exchange in the period 2012 – 2016. This research was done to 24 companies by using multiple linear analysis by first testing the classical assumption. Then the researcher discards the outlier, after which the hypothesis is tested. The result of this research shows that simultaneously the combination of Current Ratio, Net Profit Margin, and Debt To Asset Ratio does not affect the Stock Return of property and real estate companies listed on the Indonesia Stock Exchange period 2012 – 2016. Partial test is only Net Profit Margin which affects the Stock Return. While Current Ratio and Debt To Asset Ratio do not affect the Stock Return. Keywords: Current Ratio, Net Profit Margin, and Debt To Asset Ratio ABSTRAK Penelitian ini untuk mengetahui pengaruh kinerja keuangan yang terdiri dari Current Ratio, Net Profit Margin, dan Debt To Asset Ratio baik secara parsial maupun simultan terhadap Stock Return. Objek penelitian ini adalah perusahaan properti dan real estate yang terdaftar di Bursa Efek Indonesia pada periode 2012 – 2016. Penelitian ini dilakukan terhadap 24 perusahaan dengan menggunakan analisis linier berganda dengan pertama tama melakukan uji asumsi klasik. Kemudian peneliti membuang outlier, setelah itu melakukan uji hipotesis Hasil penelitian ini menunjukkan bahwa secara simultan kombinasi Current Ratio, Net Profit Margin, dan Debt To Asset Ratio tidak berpengaruh terhadap Stock Return perusahaan properti dan real estate yang terdaftar di Bursa Efek Indonesia periode 2012 – 2016. Uji secara parsial hanya Net Profit Margin yang mempengaruhi Stock Return. Sedangkan Current Ratio dan Debt To Asset Ratio tidak berpengaruh terhadap Stock Return. Kata Kunci: Current Ratio, Net Profit Margin dan Debt To Asset Ratio.
Item Type: | Thesis (S1) |
---|---|
Call Number CD: | FE/AK 17 004 |
NIM/NIDN Creators: | 43216210043 |
Uncontrolled Keywords: | Current Ratio, Net Profit Margin dan Debt To Asset Ratio. |
Subjects: | 600 Technology/Teknologi > 650 Management, Public Relations, Business and Auxiliary Service/Manajemen, Hubungan Masyarakat, Bisnis dan Ilmu yang Berkaitan > 657 Accounting/Akuntansi |
Divisions: | Fakultas Ekonomi dan Bisnis > Akuntansi |
Depositing User: | siti maisyaroh |
Date Deposited: | 11 Jan 2024 04:55 |
Last Modified: | 11 Jan 2024 04:55 |
URI: | http://repository.mercubuana.ac.id/id/eprint/85252 |
Actions (login required)
View Item |