ANALISIS RASIO KEUANGAN TERHADAP KINERJA KEUANGAN PERUSAHAAN PROPERTY DAN REAL ESTATE YANG TERDAFTAR DI BEI TAHUN 2021-2023

Michelle Mely Netania, . (2024) ANALISIS RASIO KEUANGAN TERHADAP KINERJA KEUANGAN PERUSAHAAN PROPERTY DAN REAL ESTATE YANG TERDAFTAR DI BEI TAHUN 2021-2023. Skripsi thesis, Universitas Pembangunan Nasional Veteran Jakarta.

[img] Text
ABSTRAK.pdf

Download (635kB)
[img] Text
AWAL.pdf

Download (2MB)
[img] Text
BAB 1.pdf
Restricted to Repository UPNVJ Only

Download (378kB)
[img] Text
BAB 2.pdf
Restricted to Repository UPNVJ Only

Download (735kB)
[img] Text
BAB 3.pdf
Restricted to Repository UPNVJ Only

Download (374kB)
[img] Text
BAB 4.pdf
Restricted to Repository UPNVJ Only

Download (494kB)
[img] Text
BAB 5.pdf

Download (313kB)
[img] Text
DAFTAR PUSTAKA.pdf

Download (425kB)
[img] Text
RIWAYAT HIDUP.pdf
Restricted to Repository UPNVJ Only

Download (173kB)
[img] Text
LAMPIRAN.pdf
Restricted to Repository UPNVJ Only

Download (2MB)
[img] Text
HASIL PLAGIARISME.pdf
Restricted to Repository staff only

Download (11MB)
[img] Text
ARTIKEL KI.pdf
Restricted to Repository staff only

Download (729kB)

Abstract

This research is quantitative research with the aim of determining the influence of independent variables consisting of current ratio, debt to equity, total asset turnover, and net profit margin on the dependent variable, namely the company's financial performance. The population in this study used the financial and annual reports of property and real estate sector companies listed on the Indonesia Stock Exchange for the 2021-2023 period. This research sample consists of 204 sample data. The purposive sampling method is the data collection method in this research. Data analysis applies multiple linear analysis for panel data using STATA software with a significance level of 5%. Researchers conducted panel data regression tests consisting of the Chow test, Lagrange multiplier test, and Hausman test to find out what model is most appropriate for this research data. Based on this test, the random effect (RE) model is the most appropriate model. The results of the research state that 1) Current Ratio has no significant effect on the company's financial performance; 2) total debt to equity has no significant effect on the company's financial performance; 3) total asset turnover has a significant effect on the company's financial performance; 4) net profit margin has a significant effect on the company's financial performance.

Item Type: Thesis (Skripsi)
Additional Information: [No.Panggil: 2010112153] [Pembimbing: Ferry Irawan] [Penguji 1: Husnah Nur Laela Ermaya] [Penguji 2: Masripah]
Uncontrolled Keywords: current ratio, debt to equity, total asset turnover, net profit margin, and company financial performance
Subjects: H Social Sciences > HF Commerce > HF5601 Accounting
Divisions: Fakultas Ekonomi dan Bisnis > Program Studi Akuntansi (S1)
Depositing User: MICHELLE MELY NETANIA
Date Deposited: 25 Sep 2024 03:57
Last Modified: 25 Sep 2024 03:57
URI: http://repository.upnvj.ac.id/id/eprint/31460

Actions (login required)

View Item View Item