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Pelatihan Manajemen Usaha Tani dengan Fokus Petani sebagai Entrepreneur di Desa Ciwangi Kecamatan Blubur Limbangan Kabupaten Garut Elfahmi, Ryan; Suherman, Herry; Andayani, Kemas Vivi; Agus, Agus; Harras, Hadyati
Jurnal Ilmiah Mahasiswa Mengabdi Vol. 1 No. 1 (2021): [April s.d. Juli] Jurnal Ilmiah Mahasiswa Mengabdi (JIMAWAbdi)
Publisher : Fakultas Ekonomi dan Bisnis Universitas Pamulang

Show Abstract | Download Original | Original Source | Check in Google Scholar | DOI: 10.32493/jmab.v1i1.10339

Abstract

Kegiatan pengabdian kepada masyarakat bertujuan untuk mengadakan Pelatihan Manajemen Usaha Tani dengan Fokus Petani sebagai Etrepreneur sebagai upaya meningkatkan pemahaman dan motivasi petani sebagai pelaku usaha di bidang pertanian di lingkungan desa Ciwangi Kecamatan Blubur Limbangan Kabupaten Garut. Metode yang digunakan dalam pelatihan menggunakan metode penyuluhan, pedampingan, diskusi dan workshop. Hasil yang diperoleh selama pelatihan, secara keseluruhan kegiatan pelatihan meliputi: materi, fasilitator, tempat pelatihan, dan konsumsi mendapat respon sangat baik dari seluruh peserta dan sangat membantu dan bermanfaat dalam meningkatkan pemahaman dan motivasi para peserta pelatihan tentang peran penting mereka sebagai entrepreneur yang diharapkan mampu meningkatkan kesejahteraan petani dan selanjutnya menggerakkan ekonomi dengan lebih baik di desa Ciwangi kecamatan Blubur Limbangan Kabupaten Garut.
HUBUNGAN DEBT TO EQUITY RATIO (DER) DAN NET PROFIT MARGIN (NPM) DENGAN HARGA SAHAM PADA PT MAYORA INDAH Tbk PERIODE 2013 - 2023 Alifya; Elfahmi, Ryan
Journal of Research and Publication Innovation Vol 2 No 4 (2024): OCTOBER
Publisher : Journal of Research and Publication Innovation

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Abstract

The purpose of this study was to determine the relationship between Debt to Equity Ratio and Net Profit Margin on Share Price at PT Mayora Indah Tbk for the period 2013 - 2023. The method used is quantitative. The population used in this study were all financial statements of PT Mayora Indah, where the sample in the study was the financial statements for the period 2013-2023. The data analysis used is Descriptive Statistical Test, Classical Assumption Test, Model Feasibility Test, Multiple Linear Regression Test, and Pearson Bivariate Correlation Hypothesis Test. The results of hypothesis research show the Sig. (2-tailed) between Deb to Equity Ratio and Stock Price is 0.001 <0.05. This shows that there is a relationship between Deb to Equity Ratio and Stock Price. Net Profit Margin with Share Price shows a Sig value. (2-tailed) of 0.267> 0.05. This shows that there is no relationship between Net Profit Margin and Stock Price.  
HUBUNGAN RETURN ON ASSET (ROA), QUICK RATIO (QR) DAN DEBT TO ASSET RATIO (DAR) TERHADAP HARGA SAHAM PADA PT BANK RAKYAT INDONESIA TBK PERIODE 2013-2023 Darmawan Martawiharjo, Angga; Elfahmi, Ryan
Journal of Research and Publication Innovation Vol 2 No 4 (2024): OCTOBER
Publisher : Journal of Research and Publication Innovation

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Abstract

This research aims to determine the Correlation of Return on Assets (ROA), Quick Ratio (QR) and Debt to Asset Ratio (DAR) on share prices at PT Bank Rakyat Indonesia Tbk Period 2013-2023. The method in this research is descriptive quantitative. The data analysis methods used include: Classic Assumption Test (Normality, Multicollinearity, Heteroscedasticity and Autocorrelation), Quantitative Test (Multiple Linear Regression, Correlation Coefficient and Coefficient of Determination), and Hypothesis Test (Pearson Bivariate Correlation Test/Product Moment). The results of this research indicate that partial Return On Assets (ROA) does not have a significant relationship with share prices at PT Bank Rakyat Indonesia Tbk. Because a significant value of 0.056 > 0.05 Ha1 is rejected and H01 is accepted. The Quick Ratio (QR) partially does not have a significant relationship with the share price at PT Bank Rakyat Indonesia Tbk. Because a significant value of 0.279 > 0.05 Ha1 is rejected and H01 is accepted. Debt to Asset Ratio (DAR) partially has a significant relationship with share prices at PT Bank Rakyat Indonesia Tbk. Because a significant value of 0.001 < 0.05. Ha1 is accepted and H01 is rejected. Simultaneously, Return On Assets (ROA), Quick Ratio (QR) and Debt to Asset Ratio (DAR) on Stock Prices have a very strong correlation with a correlation coefficient value of 83.3% and a determination value of 69.5%.  
PENGARUH DEBT TO EQUITY RATIO, NET PROFIT MARGIN DAN TOTAL ASSET TURNOVER TERHADAP NILAI PERUSAHAAN PADA PT. NIPPON INDOSARI CORPINDO TBK PERIODE 2013-2023 Fernanda Septiana, Ana; Elfahmi, Ryan
Journal of Research and Publication Innovation Vol 2 No 4 (2024): OCTOBER
Publisher : Journal of Research and Publication Innovation

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Abstract

This study aims to determine the Effect of Debt to Equity Ratio, Net Profit Margin and Total Asset Turnover on Company Value at PT Nippon Indosari Corpindo Tbk for the 2013-2023 Period. The method used in this study is to use a quantitative method with several data analysis techniques including Descriptive Statistical Test, Classical Assumption Test, Model Feasibility Test, Multiple Linear Regression Analysis, and t Hypothesis Testing using SPSS software version 26. The results of this study indicate that Debt to Equity Ratio has an effect on Price to Book Value, this is evidenced by the results of the hypothesis test (t-test), Debt to Equity Ratio has a t count value of 5.845> t table 2.365 and a significance value of 0.001 <0.05. Net Profit Margin does not affect Price to Book Value, this is proven by the results of hypothesis testing (t-test), Net Profit Margin has a calculated t value of -0.885 <t table -2.365 and a significance value of 0.405>0.05. Then the results of the Total Asset Turnover study do not affect Price to Book Value, this is proven by the results of hypothesis testing (t-test), Total Asset Turnover has a calculated t value of 1.165 <t table 2.365 and a significance value of 0.282> 0.05. Then the Debt to Equity Ratio, Net Profit Margin and Total Asset Turnover influence Price to Book Value, this is proven by the results of simultaneous testing (f-test), the f count value is 24,927 > f table 4,35 and the significance value is 0,000 < 0,05.  
MENGEMBANGKAN POTENSI KARANG TARUNA MELALUI OPTIMALISASI ORGANISASI BIDANG KEUANGAN DAN BISNIS SEBAGAI UPAYA MENINGKATKAN PERAN PEMUDA DI MASYARAKAT Karlina, Dira; Elfahmi, Ryan; Oktovian, Reza; Winarsa, Hendra; Mardiati, Dijan
Abdi Laksana : Jurnal Pengabdian Kepada Masyarakat Vol 1 No 2 (2020): Abdi Laksana : Jurnal Pengabdian Kepada Masyarakat
Publisher : LPPM Universitas Pamulang

Show Abstract | Download Original | Original Source | Check in Google Scholar | DOI: 10.32493/al-jpkm.v1i2.4981

Abstract

This Community Service aims to add insight and develop youth creativity in managing the youth organization at hamlet 11, Pengasinan village, Bogor district which is business-oriented by utilizing assets in the surrounding environment. Besides providing insight to youth the importance of the activities of the control function of all activities related to the economy and business and encourage community leaders to take an active role in supporting the work program of Youth Organization. Community Service Activities carried out from 8 - 10 November 2019 were carried out using mentoring, counseling, practice and training methods to explain comprehensively from the management side of the optimization of financial and business activities. The results of the assistance and counseling in this Community Service activity were management experience and knowledge gained by youth participants of youth organization at hamlet 11, Pengasinan village, Bogor, West Java. That are 1. Optimization of assets for business, 2. Strategic role of the community, 3. Business concepts, 4. Production factors, 5. Business & entrepreneurship, 6. Identification of opportunities and risks. The participants were very enthusiastic and responded intelligently to the discussions. So that with the increasing understanding of Finance and Business, it is expected to be applied in carrying out business activities in the Youth Organization in the environment of hamlet 11, Pengasinan, Bogor, West Java.
Pengaruh Current Ratio Dan Debt To Equity Ratio Terhadap Return On Asset Pada PT Ramayana Lestari Sentosa Tbk. Tahun 2008-2019 Pratiwi, Audrey Yunita; Elfahmi, Ryan
Jurnal Ilmiah Mahasiswa (JIMAWA) Vol. 1 No. 2 (2021): JULI-OKTOBER: Jurnal Ilmiah Mahasiswa (JIMAWA)
Publisher : Universitas Pamulang

Show Abstract | Download Original | Original Source | Check in Google Scholar | DOI: 10.32493/jmw.v1i2.12326

Abstract

Penelitian ini bertujuan untuk mengetahui pengaruh Current Ratio dan Debt to Equity Ratio terhadap Return on Asset pada PT Ramayana Lestari Sentosa Tbk tahun 2008-2019. Metode penelitian ini bersifat deskriptif dengan pendekatan kuantitatif. Populasi Laporan keuangan PT Ramayana Lestari Sentosa Tbk, dan diambil samplek 12 tahun. Hasil dari analisis regresi linear berganda ditemukan persamaan Y = 13,286 + 0,031 X1 – 0,359 X2. Hasil uji t (parsial) Current Ratio tidak berpengaruh terhadap Return on Asset dengan thitung 2,156 < ttabel 2,26216 serta nilai signifikansi 0,059 > 0,05. Sedangkan Debt to Equity Ratio berpengaruh terhadap Return on Asset dengan thitung -3,254 < ttabel 2,22814 serta nilai signifikansi 0,10 < 0,05. Hasil  uji F (simultan) Current Ratio dan Debt to Equity Ratio dengan Fhitung 6,823 > Ftabel 4,10 dan nilai signifikan 0,016. Serta koefesiensi determinasi (R2) sebesar 0,514 atau 51,4% . Kata Kunci : Current Ratio; Debt to Equity Ratio; Return on Asset
MODEL OF STUDENT INVESTMENT INTENTION WITH FINANCIAL KNOWLEDGE AS A PREDICTOR THAT MODERATED BY FINANCIAL SELFEFFICACY AND PERCEIVED RISK Elfahmi, Ryan; Ikin Solikin; Nugraha
Dinasti International Journal of Economics, Finance & Accounting Vol. 1 No. 1 (2020): Dinasti International Journal of Economics, Finance & Accounting (March- April
Publisher : Dinasti Publisher

Show Abstract | Download Original | Original Source | Check in Google Scholar | DOI: 10.38035/dijefa.v1i1.232

Abstract

This study aims to predict students' investment intentions in the Indonesia Stock Exchange. The questions in this study are whether financial knowledge shows a significant effect on student investment intentions on the Indonesia Stock Exchange, whether financial self-eficacy shows a significant effect in strengthening or weakening student investment intentions on the Indonesia Stock Exchange and whether the perceived risk shows a significant effect in strengthening or weakening student investment intentions in the Indonesia Stock Exchange. The analysis technique in this study using SPSS ver.21 and analyzed by regression PROCESS v3.4 by Andrew F. Hayes. The sampling method is purposive sampling, with several criteria developed previously. Questionnaires are used to collect data from respondents. Respondents in this study were students at the University of Pamulang, South Tangerang. A total of 400 respondents participated. Based on the analysis, Financial Knowledge influences students' investment intentions on the Indonesia Stock Exchange. Financial self-efficacy does not shows a significant influence in strengthening student investment intentions on the Indonesia Stock Exchange. The perceived risk shows a significant effect in weakening students' investment intentions on the Indonesia Stock Exchange.