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that was better, for emiten more will be easy to receive capital and for the investor will obtain the profit or return. In … the macro variable economics (inflation, the bank's Indonesian certificate, and the exchange rate) toward return of the … BOPO variable, ROE, inflasi, and the exchange rate that were influential toward return. For the interval of time 6 monthly …
Persistent link: https://www.econbiz.de/10009464542
influence, and dividen payout ratio to return with earnings per share as moderating variable in company of manufacture at … return with significantly value 0.112. While result of examination by parsial show investment cash flow and financing cash … flow give influence negative and sigficant to return shown with t significantly value calculate each 0,021 and 0 …
Persistent link: https://www.econbiz.de/10009480826
(buyback) saham. Umumnya, penelitian-penelitian ini menyimpulkan bahwa ada peningkatan return, baik jangka pendek maupun jangka … peningkatan return jangka pendek adalah adanya sinyalemen positif atau manfaat penurunan biaya keagenan pada arus kas perusahaan …. Sementara yang paling umum digunakan untuk menjelaskan peningkatan return jangka panjang adalah market timing hypothesis, dimana …
Persistent link: https://www.econbiz.de/10013002308
Indonesian Abstract: Penelitian ini menguji secara empiris model tiga faktornya Fama dan French dengan data Indonesia selama periode 2003-2006. Secara khusus, studi meneliti perilaku harga saham, terkait dengan ukuran (ekuitas pasar, ME) dan rasio book-to-market. Tujuan utama penelitian ini...
Persistent link: https://www.econbiz.de/10012976016
aman bagi perbankan syariah (risk free asset ) berpengaruh positif dan signifikan terhadap rasio nilai total pembiayaan … providing a safe asset for the Islamic banking (risk free asset) has positive and significant impact on the Islamic banking …
Persistent link: https://www.econbiz.de/10012983793
Indonesian Abstract: Going concern merupakan salah satu konsep penting akuntansi tentang keadaan di mana perusahaan dapat tetap beroperasi dalam jangka waktu ke depan, dimana hal ini dipengaruhi oleh keadaan finansial dan non finansial. Kegagalan mempertahankan going concern dapat mengancam...
Persistent link: https://www.econbiz.de/10012923725
ownership, risk, debt policy, and dividend policy which are included as strategic variables in company.s decision making of … Indonesian stock market. Company size, liquidity, profitability, investment opportunity set, fixed assets ratio, return on assets … ownership, risk, debt policy, and dividend policy affect each other significantly. Furthermore, the result of this research also …
Persistent link: https://www.econbiz.de/10009464573