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Journal articles on the topic 'Return on Asset and Net Profit'

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1

Sharma, Gagandeep, Divya Sharma, and Shreshtha Singh. "Efficiency and Performance of Top Indian Pharmaceutical Firms: A Comparative Analysis." Edumania-An International Multidisciplinary Journal 02, no. 02 (2024): 165–74. http://dx.doi.org/10.59231/edumania/9045.

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The Indian pharmaceutical industry has made significant strides in the past five decades and is an important contributor to the provision of quality healthcare services in any economy. This paper studies the efficiency of selected top ten pharmaceutical companies by applying Data Envelopment Analysis (DEA) under constant return to scale (CRS) model and variable returns t ale (VRS) model. The inputs used in the study are assets, salaries, and wages. The outputs used are Return on Asset, and Net Profits. The study found Divis Laboratories and Sun Pharma to be most efficient under CRS and Sun Pha
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Silviani, Williana, Rosdiana Panjaitan, Sally Angelika Hutagalung, and Tetty Tiurma Uli Sipahutar. "Return On Assets, Current Ratio,Net Profit Margin, Total Asset Turnover Berpengaruh Terhadap Perkembangan Laba Pada Industri Manufaktur Yang Terdaftar Di Bursa Efek Indonesia Periode 2015- 2019." Journal of Economic, Bussines and Accounting (COSTING) 6, no. 2 (2023): 2034–45. http://dx.doi.org/10.31539/costing.v6i2.3367.

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This study aims to test whether Return On Assets, Current Ratio, Net Profit Margin, Total Asset Turnover have an effect on the growth of profits listed on the Indonesia Stock Exchange. This research is a type of quantitative descriptive research, which uses data from 135 large and small trading sector manufacturing companies listed on the Indonesia Stock Exchange. Partially, the variables of return on assets, current ratio and total asset turnover have no effect on profit growth. Meanwhile, the net profit margin variable has a positive effect on profit growth. And simultaneously, the independe
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Sunaryo, Deni. "The Effect of Net Profit Margin, Return on Asset, Return on Equity on Share Prices in The Southeast Asian Metal Industry." International Journal of Science, Technology & Management 1, no. 3 (2020): 198–208. http://dx.doi.org/10.46729/ijstm.v1i3.47.

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This study aims to see the effect of Net Profit Margin, Return On Assets and Return On Equity. This study uses secondary data. The sample used is nine metal companies that are on the Southeast Asian Stock Exchange. The independent variables in this study are Net Profit Margin, Return On Assets and Return On Equity. Sampling in this study using purposive sampling technique. The data analysis method used is the classical assumption test, hypothesis test, F test and t test. Based on the research results, it is known that Net Profit Margin, Return On Assets and Return On Equity do not have a signi
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Wahasusmiah, Rolia. "Determination of Financial Performance in Predicting Profit Growth of Consumer Goods Industry Companies." Journal of Accounting and Taxation 4, no. 2 (2024): 123–36. http://dx.doi.org/10.47747/jat.v4i2.1906.

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The phenomenon of profit growth is not just a number, but a critical indicator in measuring the success of a company's performance. It is a tangible reflection of how effectively and efficiently the management parties have managed the resources owned by the company. Therefore, financial analysis is not just a tool, but a necessity to analyze and estimate profits and make decisions on the growth of profits to be achieved in the future. Factors that can influence earnings growth are Total Asset Turnover (TAT), Net Profit Margin (NPM), Return on Assets (ROA), Debt to Equity Ratio (DER), and Worki
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Aprianingrum, Ulfi. "Analisis Faktor-Faktor Yang Menentukan Pertumbuhan Laba Dengan Corporate Governance Sebagai Variabel Pemoderasi." Accounting and Finance Studies 2, no. 1 (2022): 1–20. http://dx.doi.org/10.47153/afs21.2622022.

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This study aims to determine the effect of Current Ratio, Debt to Asset Ratio, Total Asset Turnover, Net Profit Margin, and Return on Assets on Profit Growth with Corporate Governance as Moderating Variable. This research is a quantitative research. Data were obtained from manufacturing companies registered with ISSI for the 2018-2020 period. The population obtained is 186 companies. The sample used in this study were 62 companies with purposive sampling method. The analytical tools used are multiple linear regression and Moderated Regression Analysis (MRA). The data processing tool uses Eview
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Yustika, Ade Ira, Muhlis Ruslan, and Ripa Fajarina Laming. "Pengaruh Return On Asset, Return On Equity Dan Net Profit Margin Terhadap Pertumbuhan Laba Pada PT United Tractors Tbk." ACCESS: Journal of Accounting, Finance and Sharia Accounting 2, no. 1 (2024): 10–19. https://doi.org/10.56326/access.v2i1.3212.

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Tujuan dari penelitian ini adalah untuk menganalisis pengaruh Return On Asset (ROA), Return On Equity (ROE), dan Net Profit Margin (NPM) terhadap pertumbuhan laba pada PT United Tractors Tbk. Jenis penelitian yang digunakan adalah penelitian kuantitatif. Teknik pengumpulan data yang digunakan adalah dokumentasi yang bersumber dari data sekunder berupa laporan keuangan PT United Tractors Tbk. Alat analisis yang digunakan yaitu Regresi Linear Berganda. Hasil Penelitian ini menunjukkan bahwa Return On Asset (ROA) secara parsial berpengaruh signifikan terhadap pertumbuhan laba pada PT United Tract
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Putri, April Nadia. "Pengaruh Profitabilitas terhadap Return Saham pada Sub Sektor Konstruksi Bangunan yang Terdaftar Di Bursa Efek Indonesia Periode 2015-2020." Science of Management and Students Research Journal (SMS) 3, no. 4 (2022): 187. http://dx.doi.org/10.33087/sms.v3i4.126.

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This study aims to determine the effect of simultan and partial variable Return On Asset, Return On Equity, Net Profit Margin, and Gross Profit Margin.This research uses descriptive quantitative method and the source of the data in thid study was obtained through several literatures related to research, the website of the company concerned, financial statements and the Indonesia Stock Exchange (IDX).The object of this research is a Building Construction Company which is one of the Sub-Sector categories on the Indonesian stock exchange with a research population of 18 companies, only 6 companie
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Sekolah Tinggi Ilmu Ekonomi Y.A.I, Sofa Yulandari. "JUMPA Vol. 6 No. 1 Februari 2019 Analisis Rasio Keuangan Terhadap Pertumbuhan Laba Pada Perusahaan Indeks LQ45." Jurnal Manajemen dan Perbankan (JUMPA) 6, no. 1 (2019): 13–22. http://dx.doi.org/10.55963/jumpa.v6i1.272.

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Penelitian ini bertujuan untuk menganalisis pengaruh Return On Assets (ROA), Net Profit Margin (NPM), dan Total Asset Turnover (TATO) terhadap pertumbuhan laba pada perusahaan indeks LQ45 yang terdaftar di Bursa Efek Indonesia LQ45 periode 2016-2018. Dalam penelitian ini digunakan data sekunder, Populasi penelitian ini adalah perusahaan yang terdaftar dalam indeks LQ45 di Bursa Efek Indonesia (BEI) periode 2016-2018 dengan menggunakan metode purposive sampling. Terdapat 13 perusahaan yang memenuhi kriteria-kriteria sebagai sampel penelitian. Penelitian ini menggunakan metode kuantitatif. Varia
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Satria, Rita, Imaula Zuhriyah Agustina, and Elva Herlianti. "PENGARUH TOTAL ASSET TURN OVER DAN NET PROFIT MARGIN TERHADAP RETURN ON ASSET PADA PT NIPPON INDOSARI CORPINDO TBK PERIODE 2012-2021." SCIENTIFIC JOURNAL OF REFLECTION : Economic, Accounting, Management and Business 6, no. 4 (2023): 955–64. http://dx.doi.org/10.37481/sjr.v6i4.756.

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This study aims to determine the effect of Total Asset Turnover and Net Profit on Return on Assets at PT Nippon Indosari Corpindo Tbk for the 2012-2021 period partially or simultaneously. The selection of independent variables used in this study is Total Asset Turnover and Net Profit Margin. While the dependent variable is Return on Assets (ROA). The population in this study is the annual financial statements of PT Nippon Indosari Corpindo Tbk which are listed on the Indonesia Stock Exchange (IDX). Meanwhile, the samples used in this study are all balance sheets and income statements at PT Nip
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Lubis, Mahmuddin Syah, Arman Osvaldo Siburian, Rivaldo Cokro, and Yusneni Afrita Nasution. "Pengaruh Current Ratio, Total Asset Turnover, Debt To Equity Ratio, Net Profit Margin Terhadap Roa Pada Perusahaan Property & Real Estate Yang Terdaftar Di BEI Tahun 2019 - 2021." Journal of Economic, Bussines and Accounting (COSTING) 7, no. 1 (2023): 420–28. http://dx.doi.org/10.31539/costing.v7i1.6400.

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 The study aims to determine the effect of Curent Ratio, Total Asset Turnover, Debt to Equity Ratio, Net Profit Margin on ROA in property and real estate companies listed on the IDX in 2019 - 2021. Quantitative descriptive research method, collecting data using research instruments and statistically analyzed in testing hypotheses. The population was 80 companies in the field of property and real estate, a sample of 20 companies with purposive sampling technique. The results of the study found that Current Ratio is partially significant to the company's Return on Assets with a tcount of C
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Alfiani, Ria, and Layon Hocben Hutagaol. "Pengaruh Return On Asset, Return On Equity, dan Net Profit Margin Terhadap Pertumbuhan Laba Pada Industri Perbankan." JURNAL ONLINE INSAN AKUNTAN 10, no. 1 (2025): 1. https://doi.org/10.51211/joia.v10i1.3458.

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This research aims to determine the effect of Return On Assets, Return On Equity and Net Profit Margin on profit growth in the banking industry. This research uses quantitative descriptive methods. The research population consists of companies in the banking industry listed on the Indonesia Stock Exchange in 2018–2022. The sampling method applied in this research was purposive sampling. The number of samples in this research was 26 companies in the banking industry. The data analysis technique used is multiple linear regression analysis using SPSS 25. Based on the research results, it shows th
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RONA TUMIUR MAULI CAROLIN SIMORANGKIR. "PENGARUH KINERJA KEUANGAN TERHADAP RETURN SAHAM PERUSAHAAN PERTAMBANGAN." Jurnal Bisnis dan Akuntansi 21, no. 2 (2019): 155–64. http://dx.doi.org/10.34208/jba.v21i2.616.

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This research aims to know the influence of return on asset, return on equity, and net profit margin on stock return. The population used Minning Company on the BEI with the observation periods during 2013 until 2017 as many as 13 companies. The source of the secondary data has been obtained from Indonesia Stock Exchange. The data analysis technique has been carried out by using multiple linear regressions analysis. Based on the result of the analysis indicate that return on asset, return on equity, and net profit margin significant effect on stock return of banking company. Based on the test
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Herdiyana, Herdiyana, and Kartika Kartika. "PENGARUH HASIL ANALISIS FUNDAMENTAL TERHADAP RETURN SAHAM PT RAMAYANA LESTARI SENTOSA TBK." JIMFE (Jurnal Ilmiah Manajemen Fakultas Ekonomi) 1, no. 1 (2015): 19–24. http://dx.doi.org/10.34203/jimfe.v1i1.452.

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ABSTRACTThe company can be knowledge have a good fundamentals if the company has current assets that are notbloated and mediocre sales, total assets and total capital is greater than the total debt, and the value ofEarning Per Share has a positive growth over the last five years. The higher the earning per share, thehigher the stock price. This contrasts with the fact that of the PT Ramayana Lestari Sentosa, Tbk becausethe company has current assets increased growth while the sales growth rate decreased in the period2008-2009. The method used in this research is explanatory survey. The study s
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Yanti, Ni Putu Ayu Krisna Weda, and I. Putu Gede Diatmika. "Analisis Du Pont System terhadap Penilaian Kinerja Keuangan Industri Farmasi yang Terdaftar di Bursa Efek Indonesia." Vokasi : Jurnal Riset Akuntansi 10, no. 01 (2022): 79–86. http://dx.doi.org/10.23887/vjra.v10i01.56324.

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 The purpose of this study was to determine the financial performance of pharmaceutical companies using the Du Pont System. The method of analysis using the Du Pont System with variables namely Total Asset Turnover (TATO), Net Profit Margin (NPM), and Return On Investment (ROI). This research was conducted with a quantitative descriptive approach. The data used is secondary data in the form of financial statements, data collection techniques with literature study. The results of the study using the Du Pont System showed that one company with a Net Profit Margin variable that was
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Sunarsih, Meida Dwi, Misdiyono Misdiyono, and Titi Nugraheni. "Debt To Asset Ratio, Debt To Equity Ratio, Return On Asset, Return On Equity, Net Profit Margin And The Effect On Stock Prices In Indonesia Energy Sector Companies." Dinasti International Journal of Economics, Finance & Accounting 5, no. 6 (2025): 6086–94. https://doi.org/10.38035/dijefa.v5i6.3770.

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Abstract: The purpose of this study is to analyze the effect of Debt to Asset Ratio, Debt to Equity Ratio, Return On Asset, Return on Equity, and Net Profit Margin on stock prices, especially in energy sector companies in Indonesia. The data analysis methods used are descriptive statistical tests, classical assumption tests, multiple linear regression analysis tests, T-tests, F-tests, and determination coefficient tests. The sample in this study was 20 energy sector companies listed on the Bursa Efek Indonesia ( BEI ) during the 2017-2021 period and met the sample selection criteria. The sampl
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Ningrum, Prima Novia, and Ifa Nurmasari. "Pengaruh Current Ratio, Total Asset Turnover dan Net Profit Margin Terhadap Return On Asset (PT Wilmar Cahaya Indonesia, Tbk. 2010-2019)." Jurnal SEKURITAS (Saham, Ekonomi, Keuangan dan Investasi) 4, no. 3 (2021): 262. http://dx.doi.org/10.32493/skt.v4i3.9294.

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Tujuan dilakukannya penelitian ini guna mengetahui apakah rasio keuangan yaitu Current Ratio, Net Profit Margin dan Total Asset Turnover mempunyai pengaruh terhadap variabel terikat Return On Assets PT Wilmar Cahaya Indonesia Tbk tahun 2010-2019. Data sekunder digunakan dalam penelitian ini. Penelitian ini termasuk penelitian kuantitatif. Penelitian ini menggunakan berbagai pengujian, meliputi regresi linier berganda, asumsi klasik, dan uji hipotesis yang terdiri dari uji F dan uji t. Selain itu dilakukan juga uji koefisien determinasi. Penelitian ini menunjukkan hasil bahwa Net Profit Margin
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Agustina, Dewi, Alean Kistiani Hegy Suryana, and Nur Asih Triatmaja. "Analisis Faktor-Faktor Yang Mempengaruhi Harga Saham Pada Perusahaan Sektor Perbankan Yang Terdaftar Di Bursa Efek Indonesia (Bei) Tahun 2016-2020." EKOBIS : Jurnal Ilmu Manajemen dan Akuntansi 10, no. 2 (2022): 185–94. http://dx.doi.org/10.36596/ekobis.v10i2.878.

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Harga saham adalah nilai yang mencerminkan keadaan perusahaan, apabila harga saham suatu perusahaan tinggi maka dapat dikatakan perusahaan dalam keadaan baik, sebaliknya apabila harga saham perusahaan turun maka dapat dikatakan bahwa perusahaan yang bersangkutan sedang dalam kondisi kurang baik. Tujuan dari penelitian ini adalah untuk menganalisis pengaruh variabel Return on Asset, Return on Equity, Return on Investmen, Gross Profit Margin dan Net Profit Margin terhadap perusahaan perbankan yang terdaftar di Bursa Efek Indonesia periode 2016-2020. Tehnik pemilihan sampel yang digunakan yaitu P
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Ira Purnama Sari and Soffia Pudji Estiasih. "C. ANALISIS RASIO PROFITABILITAS SEBAGAI ALAT UNTUK MENILAI KINERJA KEUANGAN PADA PT. ACE HARDWARE INDONESIA Tbk." Economics and Sustainable Development 7, no. 2 (2022): 31. http://dx.doi.org/10.54980/esd.v7i2.202.

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Penelitian ini bertujuan untuk mengetahui dan menganalisis bagaimana kinerja keuangan pada PT. Ace Hardware Indonesia Tbk selama tahun 2015 –2019 berdasarkan analisis rasio profitabilitas. Oleh karenanya peneliti mengumpulkan data-data sekunder berupa data profil perusahaan,serta data laporan posisi keuangan dan laporan laba rugi dari tahun 2015-2019. Sedangkan data-data primer, peneliti menganalisis dari data sekunder yang didapat sehingga mendapatkan ikhtisar laporan keuangan berupa data nilai penjualan, laba kotor, laba bersih, ekuitas dan aktiva dari tahun 2015-2019. Ikhtisar tersebut kemu
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N, Sathiya, and Sangeetha S. "FINANCIAL PERFORMANCE OF SELECTED PUBLIC AND PRIVATE SECTOR BANKS IN INDIA." ICTACT Journal on Management Studies 7, no. 4 (2021): 1471–75. https://doi.org/10.21917/ijms.2021.0213.

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The main objective of this paper is to evaluate the financial performance of selected public and private sector banks in India. The present study is used secondary data for period of five years from 2014-15 to 2018-19. To compare the financial performance by using selected parameters namely return on asset, total income, net profit, net interest income and operating profit. The study found that total income, net interest income and operating profit of selected public sector banks are performing better than private sector banks. On the other hand, net profit and return on assets of private sect
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Rahayu, Maulana Yusup, and Agus Sucipto. "Analisis Pengaruh Profitabilitas terhadap Return Saham dengan Nilai Perusahaan sebagai Variabel Moderasi: Studi Kasus pada Perusahaan Telekomunikasi di BEI pada 2018-2023." Jurnal Akuntansi, Keuangan, dan Manajemen 6, no. 1 (2024): 81–94. https://doi.org/10.35912/jakman.v6i1.3570.

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Purpose: The purpose of this study was to test and analyse the effect of profitability on stock returns. Methodology: The research method used in this research is quantitative method. The research method used in this research is panel data regression. The sampling technique used in this research is nonprobability sampling with purposive sampling method so that the total sample is 6 telecommunication sector companies listed on the Indonesia Stock Exchange for the period 2018-2023. The analysis method used in this research is panel data regression analysis using Eviews 12. Results: The results o
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Munawar, Aang, Refazira Zarazetari, and Wimpi Srihandoko. "Faktor Yang Mempengaruhi Return On Invested Capital." Jurnal Ilmiah Manajemen Kesatuan 11, no. 1 (2023): 185–96. http://dx.doi.org/10.37641/jimkes.v11i1.1871.

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The development of the business world is increasingly rapid accompanied by intense competition, making companies must be able to survive, one of which is by improving financial performance. Non-bank financial institution sector companies are one of the pillars of economic development. However, in the last five years, mining sector companies have experienced fluctuations in company profits due to the impact of the covid 19 pandemic, causing a decline in the company's financial performance. This research was conducted to examine the effect of intellectual capital, growth ratio, liquidity (cash r
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Fitriana, Elvira, and Purwita Sari. "PENGARUH RETURN ON ASSET, RETURN ON EQUITY, DAN NET PROFIT MARGIN TERHADAP PROFIT GROWTH." JURNAL WIDYA 5, no. 2 (2024): 1663–75. https://doi.org/10.54593/awl.v5i2.384.

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Profit Growth adalah perubahan kenaikan laba yang diperoleh oleh suatu perusahaan.Pertumbuhan laba perusahaan yang baik menunjukkan bahwa suatu perusahaan mempunyai kinerjakeuangan yang baik dan akan meningkatkan nilai perusahaan. Penelitian ini bertujaun untukmengetahui pengaruh Return On Asset, Return On Equity, dan Net Profit Margin terhadap ProfitGrowth Penelitian ini merupakan penelitian kuantitatif dengan pendekatan asosiatif. Populasipenelitian ini ialah seluruh perusahaan Sektor Aneka Industri yang terdaftar di BEI. Pengambilansampel yang digunakan penelitian ini adalah purposive sampl
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Fadilah, Hasni, Rika Lidyah, and Deky Anwar. "Pengaruh Net Profit Margin terhadap Nilai Perusahaan dengan Return on Assets Sebagai Variabel Intervening pada Perusahaan yang Terdaftar Di Jakarta Islamic Index." Syntax Literate ; Jurnal Ilmiah Indonesia 6, no. 4 (2021): 1718. http://dx.doi.org/10.36418/syntax-literate.v6i4.2425.

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Tujuan penelitian ini untuk mengetahui pengaruh variabel net profit margin terhadap nilai perusahaan dengan return on asset sebagai variabel intervening pada perusahaan yang terdaftar di Jakarta Islamic index. penelitian ini menggunakan data sekunder, dengan metode pengumpulan data menggunakan metode dokumentasi dan sampel yang di gunakan yaitu 28 perusahaan yang terdaftar di JII dengan periode tahun 2015 sampai tahun 2018. Penelitian ini menggunakan Statistical Product and Service Solutions (SPSS). Hasil yang diperoleh pada penelitian ini yaitu adanya pengaruh antara net profit margin terhada
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Maulina, Fera. "ANALISIS TINGKAT EFISIENSI PENGGUNAAN MODAL MELALUI PENDEKATAN DU PONT SYSTEM PADA PT SIANTAR TOP TBK." Jurnal Ekonomi Integra 11, no. 2 (2021): 137. http://dx.doi.org/10.51195/iga.v11i2.165.

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This study aims to describe and analyze the efficiency of the use of capital through the Du Pont approach. The data analysis that will be used is quantitative with the data source, namely secondary data obtained from the 2016-2019 financial statements of PT Siantar Top Tbk. The research variables used are: (1) Asset Turn Over, to show the company's ability to manage all assets to generate sales; (2) Net Profit Margin, to show how much net profit the company gets; (3) Return on Assets, to measure the rate of return of all existing assets; (4) Equity Multiplier, to describe how much equity is co
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Wati, Asri Widia, Mursalin Mursalin, and Muhammad Kurniawan. "Pengaruh Return On Equity (ROE), Return On Asset (ROA), Dan Net Profit Margin (NPM) Terhadap Pertumbuhan Laba Pada Sub Sektor Makanan dan Minuman yang Terdaftar Di Bursa Efek Indonesia (BEI)." Jurnal Media Wahana Ekonomika 21, no. 2 (2024): 327–37. http://dx.doi.org/10.31851/jmwe.v21i2.12948.

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ABSTRAK Tujuannya dilakukan penelitian karena ingin dapat mengetahui pengaruh Return On Equity (ROE), Return On Total Assets (ROA) dan Net Return On Equity (NPM) terhadap pertumbuhan laba pada perusahaan makanan dan minuman yang terdaftar di Bursa Efek Indonesia (BEI) pada periode tahun 2019 – 2021. Total dari perusahaan yang terdapat di penelitian yang dilakukan ini berjumlah 26 perusahaan yang tercatat di Bursa Efek Indonesia (BEI). Sampel yang digunakan pada penelitian ini berjumlah 18 perusahaan dengan data 54 perusahaan. Dalam menentukan sampel peneliti menerapkan cara pengambilan sampel
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Anismadiyah, Vega. "Pengaruh Net Profit Margin Dan Total Asset Turnover Terhadap Return On Asset Pada PT Gajah Tunggal Tbk Periode 2010-2019." KREATIF : Jurnal Ilmiah Prodi Manajemen Universitas Pamulang 9, no. 2 (2021): 83. http://dx.doi.org/10.32493/jk.v9i2.y2021.p83-93.

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Tujuan dari penelitian ini adalah untuk mengetahui apakah Net Profit Margin dan Total Assets Turnover memiliki pengaruh terhadap Return On Asset. Perusahaan yang menjadi objek penelitian yaitu PT Gajah Tunggal Tbk. Data diambil dari laporan keuangan PT Gajah Tunggal Tbk tahun 2010-2019. Metode yang digunakan adalah kuantitatif asosiatif. Analisis data yang digunakan adalah analisis regresi linear, uji asumsi klasik, uji hipotesis dan koefisien determinasi. Berdasarkan hasil pengujian diperoleh data bahwa secara simultan Net Profit Margin dan Total Asset Turnover memiliki pengaruh terhadap Retu
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Tamba, Anggin Nurcahaya, and Nadia Laras Br Hutagalung. "Pengaruh Rasio Keuangan Terhadap Pertumbuhan Laba dengan Ukuran Perusahaan sebagai Variabel Moderasi di BEI." Owner 8, no. 3 (2024): 2076–91. http://dx.doi.org/10.33395/owner.v8i3.2217.

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The purpose of this study is to investigate and demonstrate how the non-cyclical consumer sector companies listed on the Indonesia stock exchange in 2021–2022 are affected in terms of profit growth by the current ratio, debt to equity ratio, total assets turnover, net profit margin, and return on assets. Additionally, investigate and assess how Company Size affects the relationship between Profit Growth and Current Ratio, Debt to Equity Ratio, Total Asset Turnover, Net Profit Margin, and Return on Assets in Indonesian Non-Cyclic Consumer Sector Businesses. Exchange of Stocks during 2021–2022.
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Nirwana, Andre Reymon, Dicky Jhoansyah, and Erry Sunarya. "Pengaruh Return On Assets (ROA), Net Profit Margin (NPM), Earning Pershare (EPS) Dan Total Assets Turn Over (TATO) Terhadap Return Saham Pada Sektor Manufaktur Yang Terdaftar Di Bursa Efek Indonesia Periode 2016-2020." Journal of Economic, Bussines and Accounting (COSTING) 6, no. 1 (2022): 394–99. http://dx.doi.org/10.31539/costing.v6i1.4424.

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The purpose of this study was to determine the analysis of Return on Assets, Net Profit Margin, Earning Per-Share, Total Assets Turnover, measure the effect of Return on Assets, Net Profit Margin, Earning Per-Share, and Total Assets Turnover on Stock Return. Researchers used a quantitative approach with descriptive and associative methods. The sample companies in this study amounted to 8 companies. The analytical technique used in this research is descriptive and inferential analysis statistical analysis through linear regression analysis for hypothesis testing. Based on research results obtai
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ZARIYAH, ZARIYAH. "ANALISIS PENGARUH DEBT TO ASSET RATIO, RETURN ON ASSET, NET PROFIT MARGIN, TERHADAP HARGA SAHAM DI SEKTOR PERDAGANGAN YANG TERDAFTAR DI BURSA EFEK INDONESIA PERIODE 2011-2013." MANAJERIAL 3, no. 2 (2018): 31. http://dx.doi.org/10.30587/jurnalmanajerial.v3i2.487.

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ABSTRACTThis study aims to analyze Return On Assets, Debt To Asset Ratio and Net Profit Margin at the price of shares listed on the Indonesian Stock Exchange (IDX) for the period 2011-2013. Share prices are formed from the process of supply and demand that occurs in exchange. In addition, the stock price factor can be seen from the calculation of the company's financial ratios contained in the financial statements published on the Indonesia Stock Exchange (IDX). This research was conducted by purposive sampling with a sample of 104 companies. Data analysis used is multiple linear regression an
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Amelia, Putri, and Destian Andhani. "Pengaruh Net Profit Margin (NPM) dan Total Asset Turnover (TATO) terhadap Return on Asset Pada PT Wilmar Cahaya Indonesia Tbk Periode 2013-2022." Jurnal Ilmiah Swara MaNajemen (Swara Mahasiswa Manajemen) 4, no. 2 (2024): 433–42. https://doi.org/10.32493/jism.v4i2.42750.

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Penelitian ini bertujuan untuk mengetahui pengaruh Net Profit Margin (NPM) secara parsial terhadap Return on Asset pada PT Wilmar Cahaya Indonesia Tbk Periode 2013-2022, untuk mengetahui pengaruh Total Asset Turnover (TATO) secara parsial terhadap Return on Asset pada PT Wilmar Cahaya Indonesia Tbk Periode 2013-2022 dan untuk mengetahui pengaruh Net Profit Margin (NPM) dan Total Asset Turnover (TATO) secara bersama-sama (simultan) terhadap Return on Asset pada PT Wilmar Cahaya Indonesia Tbk Periode 2013-2022. Metode yang digunakan dalam penelitian ini adalah penelitian kuantitatif. Hasil penel
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Wijaya, Inka Afala, and Aprianto La’lang Kuddy. "Pengaruh Profitabilitas Terhadap Harga Saham Perusahaan Kosmetik Dan Barang Keperluan Rumah Tangga Yang Terdaftar Di Bursa Efek Indonesia." Jurnal Manajemen dan Bisnis 6, no. 2 (2022): 56–73. http://dx.doi.org/10.55264/jumabis.v6i2.85.

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Penelitian bertujuan untuk menganalisis pengaruh profitabilitas yang diukur dengan ketiga rasio yaitu, Return On Asset (ROA), Retrun On Equity (ROE), dan Net Profit Margin (NPM) terhadap harga saham baik secara parsial maupun simultan. Objek penelitian dilakukan pada perusahaan Kosmetik dan Barang Keperluan Rumah Tangga Yang Terdaftar Di BEI Tahun 2018-2020 yang berjumlah 6 perusahaan. Sumber data yang digunakan adalah data sekunder dengan teknik pengumpulan data yaitu Studi Kepustakaan dan Teknik Dokumentasi. Kemudian di analisis menggunakan analisis regresi linier berganda, uji F dan uji hip
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Efrianti, Yuli, and Fitria Fitria. "Analisis Kinerja Keuangan Menggunakan Metode Du Pont Di CV. Subur Lestari Jaya Bersama Kota Lubukinggau." Journal of Economic, Bussines and Accounting (COSTING) 5, no. 2 (2022): 1218–27. http://dx.doi.org/10.31539/costing.v5i2.2879.

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The problem in this research is the fluctuation in the amount of net sales, total assets, and net income. That is, this also affects the company's financial performance. To find out the company's financial performance, it can be calculated using financial ratios. The research method used is a qualitative research method using quantitative data through primary and secondary sources. The data collection techniques used were observation, documentation and interview data collection techniques. Based on research using Return On Asset, Total Asset Turnover, and Net Profit Margin in measuring financi
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Rahmawai Hanny Yustrianthe. "DETERMINANT FACTORS OF PROFIT GROWTH : EMPIRICAL STUDY ON MINING COMPANIES IN INDONESIA." Jurnal RAK (Riset Akuntansi Keuangan) 7, no. 2 (2023): 215–30. http://dx.doi.org/10.31002/rak.v7i2.434.

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Profit growth is an increase or decrease in company profits in a certain period. This study aims to determine the effect of the current ratio, debt to equity ratio, net profit margin, return on assets, and total asset turnover on profit growth in mining companies listed on the Indonesia Stock Exchange for the 2016-2020 period. The population in this study are mining companies listed on the Indonesia Stock Exchange as many as 49 companies. Sample selection was carried out using purposive sampling method so that 38 companies were obtained as samples. The type of data used in this study is second
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Burhan, Imron, Muhammad Dakhri Sanusi, Siswati Rachman, Nur Fadny Yuliani, and Sri Nirmala Sari. "ANALISIS PERTUMBUHAN RETURN ON ASSETS (ROA) DAN NET PROFIT MARGIN PADA PT BANK TABUNGAN NEGARA (PERSERO) TBK." Jurnal Analisa Akuntansi dan Perpajakan 7, no. 1 (2023): 62–69. http://dx.doi.org/10.25139/jaap.v7i1.5947.

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Penelitian ini bertujuan untuk mengetahui dan mengalisi pertumbuhan Net Profit Margin (NMP) dan Return On Assets (ROA). Penelitian ini menggunakan teknik analisis deskripsi kuantitatif yang bertujuan untuk menjelaskan data dan fenomena secara faktual, sistematis, dan akurat.. Data penelitian ini diperoleh dari dokumentasi meliputi dokumen laporan laba rugi dan laporan posisi keuangan, PT Bank Tabungan Negara (Persero) Tbk. Hasil penelitian menunjukkan bahwa Net Profit Margin (NPM) pada periode Triwulan I - Triwulan IV Tahun 2019 mengalami penurunan. Sedangkan pada tahun 2020 Net Profit Margin
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Zamzami, Fikri, and Nanu Hasanuh. "Pengaruh Net Profit Margin, Return on Asset, Return on Equity dan Inflasi terhadap Harga Saham." Owner 5, no. 1 (2021): 83–95. http://dx.doi.org/10.33395/owner.v5i1.321.

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The researcher conducted this research because he was interested in investing in uncertain returns, because this was because the researcher used the variables in this study as consideration.This study aims to determine the effect of Net Profit Margin (NPM), Return On Asset (ROA), Return on Equity (ROE), and Inflation on Stock Prices in LQ45 companies listed on The Indonesia Stock Exchange (IDX) for the period 2015-2019. Stock prices can be an assessment of investor to buy shares of the company. Stock prices tend to fluctuate, so it needs proper observation when making stock purchases. Independ
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Astuti, Melly Fuji, and Zulkarnain Zulkarnain. "Kemampuan ROA dan NPM dalam Memengaruhi Return Saham." WINTER JOURNAL: IMWI STUDENT RESEARCH JOURNAL 1, no. 1 (2020): 31–40. http://dx.doi.org/10.52851/wt.v1i1.4.

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Return merupakan hal yang diharapkan para investor yang menanamkan modalnya. ROA digunakan untuk mengetahui kinerja perusahaan berdasarkan kemampuan perusahaan dalam memanfaatkan aset yang dimiliki, hal ini dapat menyebabkan apresiasi dan depresiasi harga saham. NPM menghitung sejauhmana kemampuan perusahaan menghasilkan laba bersih pada tingkat penjualan tertentu. Rasio yang tinggi memberikan keyakinan kepada para investor untuk memiliki saham perusahaan yang nantinya dapat meningkatkan return saham di masa yang akan datang. Penelitian ini bertujuan untuk mengetahui: (1) pengaruh return on as
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Stya, Putri Ade, and Nur Kabib. "Pengaruh net profit margin, current ratio, total assets turn over terhadap harga saham dengan laba sebagai variabel mediasi pada perusahaan di JII70." Journal of Accounting and Digital Finance 1, no. 2 (2021): 108–24. http://dx.doi.org/10.53088/jadfi.v1i2.130.

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This study aims to determine the effect of net profit margin, current ratio, total assets turnover on stock prices with profit as a mediating variable in companies listed on the Jakarta Islamics Index70 (JII70) for the 2018-2020 period. This study uses quantitative data in financial statements with path analysis as data analysis. The population used is 70 companies in JII70 with a sample of 150 for three years. The results showed that the variables of net profit margin and return on assets affected stock prices, while the current ratio and total assets turnover did not affect stock prices. The
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Sunaryo, Deni. "Can Price Earning Ratio And Financial Distress Moderate Stock Returns : A Case Study Of The Property & Real Estate Sector In Southeast Asia." International Journal of Science, Technology & Management 3, no. 4 (2022): 907–16. http://dx.doi.org/10.46729/ijstm.v3i4.554.

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Discussion leads to the effect of Net Profit Margin, Quick Ratio, and Debt to Total Asset Ratio on Stock Return Moderated by Price Earning Ratio and Financial Distress. Therefore, this study aims to determine the effect of Net Profit Margin, Quick Ratio, and Debt to Total Asset Ratio on Stock Return Moderated by Price Earning Ratio and Financial Distress. This study uses the object of the Property & Real Estate sub-sector companies on the Southeast Asian Stock Exchange for the period 2012-2020. The population in this study are all Property & Real Estate sub-sector companies listed on t
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Luo, Jing. "Analysis of Stock Value in the Science and Technology Innovation Board Market: A Principal Component Analysis Approach." Advances in Economics, Management and Political Sciences 55, no. 1 (2023): 165–72. http://dx.doi.org/10.54254/2754-1169/55/20231003.

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The factors influencing stock returns have been extensively studied in the current academic sphere. In this study, the factor analysis method is employed to assess the investment value of stocks in the Science and Technology Innovation Board market (STAR Market) using indicators such as asset-liability ratio, current ratio, quick ratio, gross profit amount, YoY growth rate of net assets, asset return rate A, return on equity ratio ROEA, operating net profit margin, earnings per share of net assets, sales operating profit margin, and YoY growth rate of total assets. Factor scores are derived us
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Yuliani, Ni Komang, and I. Nyoman Anggaradana. "PENGARUH NET PROFIT MARGIN, RETURN ON ASSET, LIKUIDITAS TERHADAP FINANCIAL DISTRESS (Studi Kasus Pada Perusahaan Agriculture Terdaftar di Bursa Efek Indonesia Periode 2017-2019)." Jurnal Ilmiah Akuntansi dan Bisnis 6, no. 1 (2021): 1–9. http://dx.doi.org/10.38043/jiab.v6i1.3007.

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Pengaruh Net Profit Margin, Return On Asset, Likuiditas Terhadap Financial Distress (Studi Kasus Pada Perusahaan Agriculture Terdaftar Di Bursa Efek Indonesia Periode 2017-2019). Tujuan penelitian ini untuk membuktikan pengaruh net profit margin, return on asset, likuiditas terhadap financial distress. Penelitian dilaksanakan pada sektor agriculture terdaftar di Bursa Efek Indonesia (BEI) dengan jumlah sampel 42 laporan. Metode non probability sampling melalui teknik purposive sampling digunakan untuk penentuan sampel penelitian ini. Jenis data kuantitatif diambil dari laporan tahunan maupun l
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Haryanto, Agus, and Jack H. Syauta. "Pengaruh Return On Asset, Net Profit Margin dan Earning Per Share Terhadap Harga Saham Pada Perusahaan yang Tercantum dalam Indeks LQ45." JUMABIS (Jurnal Manajemen dan Bisnis) 5, no. 2 (2021): 62–76. http://dx.doi.org/10.55264/jumabis.v5i2.75.

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Penelitian ini bertujuan untuk menguji dan menganalisis pengaruh Return On Asset, Net Profit Margin dan Earning Per Share secara parsial dan simultan terhadap harga saham pada perusahaan yang tercantum dalam Indeks LQ45 periode 2016-2019.Pendekatan Penelitian dengan pendekatan kuantitatif. Sampel dalam penelitian ini berjumlah 13. Sumber data yang digunakan adalah data sekunder dengan teknik pengumpulan data yaitu Studi Kepustakaan dan Teknik Dokumentasi. Kemudian di analisis menggunakan analisis regresi linier berganda dengan bantuan software SPSS 25.Hasil penelitian menunjukkan bahwa secara
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Sulkipli, Sulkipli, Hendra Gunawan, and Firda Sulistya Sudirman. "Analisis Modal Kerja dalam Meningkatkan Profitabilitas Perusahaan Pada PT. Indocement Tunggal Prakarsa, Tbk." Jurnal Manajemen Perbankan Keuangan Nitro 7, no. 1 (2023): 1–14. http://dx.doi.org/10.56858/jmpkn.v7i1.190.

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Penelitian ini bertujuan untuk menganalisis modal kerja dalam meningkatkan profitabilitas pada PT. Indocement Tunggal Prakarsa, Tbk. Metode analisis yang digunakan dalam penelitian ini yaitu metode analisis deskriptif kuantitatif menggunakan data sekunder. Alat analisis yang digunakan dalam penelitian ini adalah analisis modal kerja, analisis rasio profitabilitas yang terdiri dari Net Profit Margin, Gross Profit Margin, Return On Assets, Return On Equity. Hasil penelitian ini menunjukkan bahwa modal kerja pada PT. Indocement Tunggal Prakarsa, Tbk pada periode 2018-2020 mengalami fluktuasi. Dim
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Handayani, Fice. "PENGARUH CURRENT RATIO, PERIODE PENAGIHAN PIUTANG DAN RETURN ON ASET TERHADAP NET PROFIT MARGIN PADA PT AUTO PARTS CENTER BALIKPAPAN." Jurnal Ilmiah Akuntansi dan Keuangan 7, no. 1 (2018): 1–22. http://dx.doi.org/10.32639/jiak.v7i1.128.

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The research expected to find the influences of current asset, the collection period of receivable add return on asset against net profit margin on PT.Auto Parts Center Balikpapan. This research uses sondary data. The sample uses 11 years by collecting financial statements data from 2005-2015. The method uses to analyze the relation between independent variable with dependent variables is multiple linear regression method and assumption test.
 
 The result of the discussion shows that simultaneously. Independent variables ;Current Ratio, the collection period of receivables and retur
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Natrion and Filda Inacha Zuki. "Pengaruh Return On Equity, Return On Asset, Dan Net Profit Margin Terhadap Capital Adequacy Ratio (Studi Empiris Pada Perusahaan Sektor Perbankan Konvensional yang Terdaftar di Bursa Efek Indonesia Periode Tahun 2015 – 2018)." Jurnal Liabilitas 6, no. 1 (2021): 91–105. http://dx.doi.org/10.54964/liabilitas.v6i1.73.

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Rasio kecukupan modal yang digunakan untuk mengukur kesehatan bank adalah Capital Adequacy Ratio (CAR). Rasio kecukupan modal dapat diukur dari rasio permodalan (capital), rasio aset (asset quality), manajemen (management), rasio laba (earnings), dan rasio likuiditas (liquidity). Penelitian ini bertujuan untuk mengetahui apakah Return On Equity, Return On Assets, dan Net Profit Margins berpengaruh terhadap Capital Adequacy Ratio pada perusahaan sektor perbankan yang terdaftar di Bursa Efek Indonesia (BEI) periode 2015-2018.
 Desain yang digunakan dalam penelitian ini adalah penelitian kau
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Saumur, Eveline Ester, and Endang Mahpudin. "Pengaruh Return on Asset, Net Profit Margin dan Biaya Operasional terhadap PPh Badan Terutang dengan Pendekatan Deskriptif & Verifikatif." Riset, Ekonomi, Akuntansi dan Perpajakan (Rekan) 5, no. 1 (2024): 41–56. http://dx.doi.org/10.30812/rekan.v5i1.3754.

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Kondisi ekonomi global yang dinamis mengharuskan seluruh negara memiliki strategi agar mampu bertahan menghadapi tekanan baik dari sisi nasional maupun internasional, begitu juga dengan Indonesia. Fokus pada penelitian ini mengambil beberapa rasio sebagai sampel variabel yakni Return on Asset, Net Profiit Margin, dan Biaya Operasional sebagai variabel bebas, dan PPh Badan Terutang pada subsektor makanan dan minuman sebagai variabel terikat. Penelitian ini bertujuan untuk mengetahui hubungan antara Return on Assets, Net Profit Margin, Biaya Operasional terhadap Pajak Penghasilan Badan Terutang
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Musri, Sevie, Inggritia Safitri M, and Nurul Huda. "ANALISIS FAKTOR YANG MEMPENGARUHI RETURN SAHAM DALAM ISSI SEKTOR CONSUMER GOODS INDUSTRY." Media Ekonomi 28, no. 1 (2021): 1–14. http://dx.doi.org/10.25105/me.v28i1.7264.

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This research is intended to determine the effect of Asset, Current Ratio, Debt Equity Ratio, Net Profit Margin, Return On Asset, Asset Turnover Ratio on sharia stock return on Sharia Indonesia Stock Exchange (Index Saham Syariah Indonesia). This research was conducted using quantitative approach with the object of research on the company at the Sharia Indonesia Stock Exchange registered in the periode 2018, with a total of 40 companies. The data collection technique uses purposive sampling. The data analysis technique used in answering the hypothesis of this study is linear regresion analysis
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Saraswati, Tita, Nurul Qomari, and Indah Noviandari. "PENGARUH RETURN ON ASSET, RETURN ON EQUITY, DAN NET PROFIT MARGIN TERHADAP NILAI PERUSAHAAN BIDANG KONSTRUKSI YANG TERDAFTAR DI BURSA EFEK INDONESIA." Benchmark 1, no. 1 (2020): 10–18. http://dx.doi.org/10.46821/benchmark.v1i1.19.

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Nilai perusahaan merupakan nilai gabungan dari nilai pasar saham yang diterbitkan dan nilai pasar hutang dari suatu perusahaan dengan cara memaksimumkan nilai saham. Ada beberapa faktor yang dapat mempengaruhi nilai perusahaan antara lain: ROA (Return on Asset), ROE (Return on Equity), dan NPM (Net Profit Margin). Penelitian ini bertujuan untuk menguji pengaruh ROA (Return on Asset), ROE (Return on Equity), dan NPM (Net Profit Margin) terhadap nilai perusahaan (Tobin’s q), analisis data pada penelitian ini menggunakan metode analisis regresi berganda untuk mengetahui pengaruh variabel-variabel
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Lutfi, Asep Muhammad. "Pengaruh Net Profit Margin (NPM), Return On Asset (ROA), dan Earning Per Share (EPS) Terhadap Harga Saham." Jurnal SEKURITAS (Saham, Ekonomi, Keuangan dan Investasi) 7, no. 1 (2023): 105. http://dx.doi.org/10.32493/skt.v7i1.34325.

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Tujuan dari Penelitian ini untuk mengetahui Pengaruh net profit margin, return on asset dan earning per share terhadap harga saham Pada PT Hanjaya Mandala Sampoerna Tbk. baik secara parsial maupun simultan. Dengan metode deskriptif dengan menggunakan pendekatan kuantitatif. Sumber data yang digunakan dalam penelitian ini adalah data sekunder. Populasi dari penelitian ini adalah laporan keuangan yang terdapat pada PT Hanjaya Mandala Sampoerna Tbk, sampel dalam penelitian ini menggunakan laporan keuangan PT HM Sampoerna Tbk berupa laporan laba rugi dan neraca selama Tahun 2012-2021. Metode anali
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Hidayati, Nur, and Yeni Purwitosari. "PENGARUH TINGKAT KESEHATAN BANK TERHADAP PERTUMBUHAN LABA." Jurnal Ilmu Manajemen (JIMMU) 5, no. 1 (2020): 68. http://dx.doi.org/10.33474/jimmu.v5i1.6725.

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The profit growth can be used as a measure of achievement of a bank in the assessment of bank performance. This can be achieved if the level of health of banks consisting Capital Adequacy Ratio, Assets Quality, Net Interest Margin, Return on Assets, Loan to Deposit Ratio and Interest Risk Ratio in accordance with the standards set by the government. For this study aims to assess how the influence of the bank to profit growth, particularly private banks non-foreign national 2013-2014 period amounting to 23 banks. By using hypothesis testing found that the Return On Asset and Loan to Deposit Rat
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Rizka, Nor Rahma. "Financial Performance in Predicting Stock Return: Study on Non-Financial Companies Listed on IDX." E-Jurnal Akuntansi 32, no. 9 (2022): 2787. http://dx.doi.org/10.24843/eja.2022.v32.i09.p12.

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Accounting and financial information are usually given to investors to help predicting the stock returns because the data has the value and historical. This study aims to examine how the ability of financial performance that represent leverage consisting of debt to asset ratio (DAR), debt to equity ratio (DER), and profitability including return on asset (ROA), return on equity (ROE), and net profit margin (NPM) in predicting stock returns. The research applies a final sample of 163 companies of non-financial sector registered in IDX in 2015-2019. This research applies analysis of multiple lin
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