RIANTO, ERLANGGA TRI (2025) PENGARUH LIKUIDITAS, SOLVABILITAS DAN PROFITABILITAS TERHADAP RETURN SAHAM (Studi pada Subsektor Plastik dan Kemasan yang Tercatat di Bursa Efek Indonesia pada Tahun 2018-2023). S1 thesis, Universitas Mercu Buana Jakarta.
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Abstract
This study aims to determine the Effect of Liquidity, Solvency and Profitability on Stock Return. The research designs is causality research. The population used in this study is the Plastic and Packaging subsector companies listed on the Indonesia Stock Exchange (IDX) in 2018-2023. Selection of research samples using the purposive sampling method has obtained 6 companies that have met the criteria. The data collection method uses data regulation, namely usingn company annual report data that obtained from the Indonesia Stock Exchange (IDX) website and the website of each company. The study used data analysis with panel data regression analysis with the selected model, namely the Common Effect Model with the help of Eviews 12 software to determine the significance of each independent variable on the dependent variable. The result showed that Liquidity has a negative and significant effect on Stock Return. Meanwhile Solvency and Profitability has a positive and significant effect on Stock Return. Keywords: Liquidity, Solvability, Profitability, Stock Return. Penelitiannya tujuannya untuk mengetahui Pengaruh Likuiditas, Solvabilitas dan Profitabilitas Terhadap Return Saham. Desain penelitian yaitu penelitian kausalitas. Populasi yang dipakai penelitiannya yaitu perusahaan subsektor Plastik dan Kemasan yang tercatat di Bursa Efek Indonesia (BEI) tahun 2018- 2023. Pemilihan sampel penelitian yaitu memakai metode purposive sampling sudah didapatkan 6 perusahaan yang sudah sesuai kriteria. Metode pengumpulan datanya memakai regulasi data yaitu memakai data laporan tahunan perusahaan didapatkan dari situs Bursa Efek Indonesia serta website dari masing-masing perusahaan. Pada penelitian memakai analisis datanya dengan analisis regresi data panel dengan model yang terpilih yaitu Common Effect Model dengan bantuan Software Eviews 12 untuk mengetahui masing-masing signifikasi variable independen pada variable dependen. Hasil penelitiannya membuktikan bahwasanya Likuiditas berdampak negatif dan signifikan pada Return Saham. Sedangkan Solvabilitas, Profitabilitas berdampak positif dan signifikan pada Return Saham. Kata Kunci: Likuiditas, Solvabilitas, Profitabilitas, Return Saham.
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