CAHYAWATI, NADIA SAFA (2024) PENGARUH LIKUIDITAS, SOLVABILITAS DAN PROFITABILITAS TERHADAP RETURN SAHAM (Studi Pada Sub Sektor Asuransi Yang Tercatat Di Bursa Efek Indonesia Periode 2018-2022). S1 thesis, Universitas Mercu Buana Jakarta.
|
Text (HAL COVER)
01 cover.pdf Download (272kB) | Preview |
|
|
Text (ABSTRAK)
02 abstrak.pdf Download (80kB) | Preview |
|
Text (BAB I)
03 bab I.pdf Restricted to Registered users only Download (204kB) |
||
Text (BAB II)
04 bab II.pdf Restricted to Registered users only Download (147kB) |
||
Text (BAB III)
05 bab III.pdf Restricted to Registered users only Download (190kB) |
||
Text (BAB IV)
06 bab IV.pdf Restricted to Registered users only Download (236kB) |
||
Text (BAB V)
07 bab V.pdf Restricted to Registered users only Download (82kB) |
||
Text (DAFTAR PUSTAKA)
08 daftar pustaka.pdf Restricted to Registered users only Download (149kB) |
||
Text (LAMPIRAN)
09 lampiran.pdf Restricted to Registered users only Download (165kB) |
Abstract
This research aims to determine the effect of liquidity, solvency and profitability on stock returns. The population in this study is the insurance sub-sector listed on the Indonesia Stock Exchange for the 2018-2022 period according to the characteristics determined by the researchers, totaling 12 companies. Sample selection used a saturated sample and obtained 12 companies. The design used in this research is causality research with data analysis methods using multiple linear regression analysis. Data were analyzed using SPSS 27 software. The results of this research show that the Current Ratio has a positive effect on Stock Returns. Debt To Equity Ratio has a negative effect on Stock Returns, and Return On Equity has a positive effect on Stock Returns. Keywords: liquidity, solvency, profitability, stock returns Penelitian ini bertujuan untuk mengetahui pengaruh likuiditas, solvabilitas dan profitabilitas terhadap return saham. Populasi pada penelitian ini adalah sub sektor asuransi yang tercatat di Bursa Efek Indonesia periode 2018-2022 sesuai dengan karakteristik yang sudah ditetapkan oleh peneliti berjumlah 12 perusahaan. Pemilihan sampel menggunakan sampel jenuh dan didapatkan 12 perusahaan. Desain yang digunakan dalam penelitian ini adalah penelitian kausalitas dengan metode analisis data menggunakan analisis regresi linier berganda. Data dianalisis menggunakan software SPSS 27. Hasil penelitian ini menunjukkan bahwa Current Ratio berpengaruh positif terhadap Return Saham. Debt To Equity Ratio berpengaruh negatif terhadap Return Saham, dan Return On Equity berpengaruh positif terhadap Return Saham. Kata Kunci : likuiditas, solvabilitas, profitabilitas, return saham.
Actions (login required)
View Item |