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ANALISIS HUBUNGAN ANTARA BETA, STRUKTUR MODAL, UKURAN PERUSAHAAN DENGAN RETURNS SAHAM Sofiati -; Yenni Kurnia Gusti
MediaTrend Vol 9, No 2 (2014): Oktober
Publisher : Trunojoyo University of Madura

Show Abstract | Download Original | Original Source | Check in Google Scholar | DOI: 10.21107/mediatrend.v9i2.772

Abstract

This research extends previous research In portofolio theory turns out that inaddition to beta stocks it turns out the size and the debtan be used as a measure of riskof stock risk. This sudy was conducted to examine whether there are other factorsbesides beta stock that affect returns.this research extends previous study in portfoliotheory describe that beta...This study using two step model. First, this research use as 55 of sample ofpublicfirms and listed in 2009 – 2013 within used a capital assets pricing models forfinding some value havea sigmificant positivebetha on 55 samples of public fimrs. Thisresearch founds that 47 samples have a significant positive in betha.Second, on this step method not use some 55 samples of publication firms but using of47 samples of publication from first method. On second step method wants to know thatDebt Equity Ratio with common stock return have a relationship. Some values such asbetha and size used by control variables. This research found that Debt and commonstock return hava positive significants relationship.
ANALISIS KINERJA PT PERTAMINA (PERSERO) PASKA HOLDING COMPANY: holding company Sofiati -; Ika Septi Kurnia Anggraeni
Jurnal Ekonomi Bisnis Manajemen Prima Vol. 1 No. 2 (2020): Jurnal Ekonomi Bisnis Manajemen Prima
Publisher : JEBIM Prima

Show Abstract | Download Original | Original Source | Check in Google Scholar | Full PDF (749.87 KB) | DOI: 10.34012/jebim.v1i2.845

Abstract

ANALISIS KINERJA PT PERTAMINA (PERSERO) PASKA HOLDING COMPANY Sofiati STIE Widya Wiwaha Yogyakarta sofiatibg@gmail.com Ika Septi Anggraheni Universitas Nahdatul Ulama Surakarta Ikaseptiunus18@gmail.com Intisari Penelitian ini dilakukan untuk menganalisis kinerja keuangan PT Pertamina (Persero) paska Holding Company. Data yang digunakan adalah laporan keuangan paska Holding Company PT Pertamina periode Januari 2017 – Desember 2018. Analisis data menggunakan Du Pont System Analysis. Hasil penelitian menununjukkan adanya peningkatan rasio – rasio keuangan periode tahun 2017 -2018 .Dengan ercapainya peningkatan rasio Return on Investment , Return On Asset , Cash Ratio , Current Ratio , Collection Period , Inventory Turn Over , Total Asset Turn Over , dan Total Modal Sendiri tersebut dapat mendukung hipotesis penelitian bahwa setelah melakukan holding perusahaan induk terbukti mengalami efisiensi dan peningkatan kinerja keuangannya. Kata Kunci : Financial Performance, Holding Company, Du Pont System Analysis Abstract This research was conducted to analyze the financial performance of PT Pertamina (Persero) after the holding company. The data used are the financial statements of the post-holding company of PT Pertamina for the period January 2017 - December 2018. Analyze data using Du Pont System Analysis .The results showed an increase in the financial ratios for the period 2017 -2018. With the achievement of an increase in the ratio of Return on Investment, Return on Assets, Cash Ratio, Current Ratio , Collection Period, Inventory Turn Over, Total Asset Turn Over, and Total Own Capital can support the research hypothesis that after holding a holding company proved to experience efficiency and increased financial performance. Keywords: Financial Performance, Holding Company, Du Pont System Analysis