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Journal : AKSIOMA : Jurnal Sains Ekonomi dan Edukasi

Pengaruh Return on Equity, Dividend Per Share, Earning Per Share Terhadap Harga Saham pada Sektor Keuangan dalam Indeks LQ-45 di Bursa Efek Indonesia (BEI) pada Tahun 2020-2024 Rose, Thitania Silvaine; Firayanti, Yuni; Marhamah, Marhamah
AKSIOMA : Jurnal Sains Ekonomi dan Edukasi Vol. 2 No. 9 (2025): AKSIOMA : Jurnal Sains, Ekonomi dan Edukasi
Publisher : Lembaga Pendidikan dan Penelitian Manggala Institute

Show Abstract | Download Original | Original Source | Check in Google Scholar | DOI: 10.62335/aksioma.v2i9.1778

Abstract

This study analyzes the impact of Return on Equity (ROE), Dividend Per Share (DPS), and Earnings Per Share (EPS) on the stock price movements of financial-sector companies listed in the LQ-45 Index on the Indonesia Stock Exchange over the 2020–2024 period. The LQ-45 Index was chosen for its high liquidity characteristics and representation of leading firms, making it a key benchmark for both institutional and retail investors. Research data consist of quarterly and annual financial statements obtained from the official Indonesia Stock Exchange (IDX) website and reputable financial data platforms. A purposive sampling technique was employed to select companies based on reporting consistency and complete data availability. Independent variables were measured using the ROE, DPS, and EPS financial ratios, while the dependent variable was the monthly average closing stock price. Data analysis was conducted via multiple linear regression using SPSS 30. The results yield the regression equation: Y = 5.031 – 5.616 ROE + 1.295 DPS + 0.166 EPS. The F-test indicates that the independent variables simultaneously have a significant effect on stock prices (p < 0.05). The t-test further reveals that DPS and EPS exert positive, significant impacts, whereas ROE has a negative, non-significant effect. These findings suggest that dividend policy and earnings-per-share growth are more determinant in driving the market value of financial-sector stocks. The study recommends incorporating liquidity and macroeconomic stability variables to broaden the analysis and achieve a more comprehensive perspective.
Analisis Rasio Keuangan dalam Menilai Kinerja Keuangan PT. Diamond Food Indonesia Tbk yang Terdaftar di BEI Periode 2019- 2023 Kurniati, Kurniati; Firayanti, Yuni; Mahardhika, Tubagus
AKSIOMA : Jurnal Sains Ekonomi dan Edukasi Vol. 2 No. 9 (2025): AKSIOMA : Jurnal Sains, Ekonomi dan Edukasi
Publisher : Lembaga Pendidikan dan Penelitian Manggala Institute

Show Abstract | Download Original | Original Source | Check in Google Scholar | DOI: 10.62335/aksioma.v2i9.1779

Abstract

This study aims to analyze the financial performance of PT. Diamond Food Indonesia Tbk, which is listed on the Indonesia Stock Exchange (IDX) for the period 2019-2023, using financial ratio analysis that includes liquidity ratios, solvency ratios, activity ratios, profitability ratios, and market ratios. This research employs a descriptive qualitative approach with secondary data obtained from the company’s annual financial statements. The results of the study show that the company’s liquidity ratios, measured by the Current Ratio and Quick Ratio, remain below the industry standard, indicating that the company's ability to meet its short-term obligations is still inadequate. The solvency ratios, measured by the Debt to Asset Ratio and Debt to Equity Ratio, indicate that the company’s capital structure is relatively healthy with low financial risk. However, activity ratios such as Asset Turnover Ratio and Inventory Turnover Ratio still demonstrate low efficiency in utilizing assets to generate sales. The profitability ratios, measured by Return on Assets, Return on Equity, and Net Profit Margin, show that the company's ability to generate profits is still far from the industry standard, although there have been improvements in certain years. The market ratio, measured by Earnings Per Share (EPS), also shows fluctuations but has not yet displayed stable performance.
Pengaruh Indeks Prestasi Kumulatif, Stres, dan Motivasi Terhadap Produktivitas Mahasiswa dalam Menyusun Tugas Akhir (Studi Kasus Mahasiswa UNU Kalbar Angkatan 2021) Pradika, Sidik; Firayanti, Yuni; Marhamah, Marhamah
AKSIOMA : Jurnal Sains Ekonomi dan Edukasi Vol. 2 No. 9 (2025): AKSIOMA : Jurnal Sains, Ekonomi dan Edukasi
Publisher : Lembaga Pendidikan dan Penelitian Manggala Institute

Show Abstract | Download Original | Original Source | Check in Google Scholar | DOI: 10.62335/aksioma.v2i9.1784

Abstract

This study aims to analyze the influence of Cumulative Grade Point Average (CGPA), stress, and motivation on students’ productivity in completing their final thesis (a case study of Universitas Nahdlatul Ulama Kalimantan Barat students, class of 2021). The background of this research is based on the phenomenon of delays in thesis completion experienced by some students, both those with high and low CGPA, which is suspected to be influenced by stress levels and learning motivation. This study employs a quantitative approach with a survey method through the distribution of questionnaires to 84 respondents selected using a simple random sampling technique. Data were analyzed using multiple linear regression tests with the help of SPSS version 20. The results show that simultaneously, CGPA, stress, and motivation significantly affect students’ productivity with a significance value of 0.000. Partially, CGPA (X1) has a positive effect with a significance value of 0.002, stress (X2) has a negative effect with a significance value of 0.009, and motivation (X3) has a positive effect with a significance value of 0.000. The regression equation obtained is Y = 11.227 + 0.118 – 0.110 + 0.274, with an R² value of 0.445. These findings emphasize the importance of managing academic and psychological aspects of students, particularly in reducing stress and enhancing motivation, to support productivity in thesis completion.
Analisis Kualitas Pelayanan, Kualitas Produk dan Harga Terhadap Kepuasan Konsumen Fachira Laundry Sungai Raya dalam Pontianak Tenggara Zen, Muhammad; Firayanti, Yuni; Marhamah, Marhamah
AKSIOMA : Jurnal Sains Ekonomi dan Edukasi Vol. 2 No. 9 (2025): AKSIOMA : Jurnal Sains, Ekonomi dan Edukasi
Publisher : Lembaga Pendidikan dan Penelitian Manggala Institute

Show Abstract | Download Original | Original Source | Check in Google Scholar | DOI: 10.62335/aksioma.v2i9.1785

Abstract

This study aims to analyze the influence of service quality, product quality, and price on customer satisfaction at Fachira Laundry Sungai Raya Dalam, Southeast Pontianak. The background of this study is based on the increasing competition in the laundry service business, so that every service provider is required to be able to maintain service quality, provide quality laundry results, and set appropriate prices to maintain customer satisfaction. The research method used is a quantitative approach with multiple linear regression analysis techniques. A sample of 100 respondents was obtained through convenience sampling techniques. The research data was processed with the help of SPSS version 20 through validity, reliability, classical assumption tests, and partial (t-test) and simultaneous (F-test) tests. The results of the study indicate that simultaneously the variables of service quality, product quality, and price have a significant effect on customer satisfaction, with a coefficient of determination (R²) of 64.1%. This means that the three variables together are able to explain the variation in customer satisfaction by 64.1%, while the rest is explained by other factors outside this study. Meanwhile, partially the service quality variable does not have a significant effect on customer satisfaction. In contrast, the product quality and price variables have a positive and significant effect on customer satisfaction. This confirms that Fachira Laundry's customer satisfaction is more determined by the quality of the laundry and the appropriateness of the price offered than by the service aspect. The implication of this research is the need for Fachira Laundry to improve the quality of its laundry and maintain a price balance with the benefits received by consumers, so that customer satisfaction and loyalty can be maintained.
Analisis Rasio Profitabilitas, Rasio Likuiditas, dan Rasio Solvabilitas dalam Menilai Kinerja Keuangan pada PT Bank Mandiri (Persero) Tbk Tahun 2019-2024 Winanti, Winanti; Firayanti, Yuni; Mahardhika, Tubagus
AKSIOMA : Jurnal Sains Ekonomi dan Edukasi Vol. 2 No. 9 (2025): AKSIOMA : Jurnal Sains, Ekonomi dan Edukasi
Publisher : Lembaga Pendidikan dan Penelitian Manggala Institute

Show Abstract | Download Original | Original Source | Check in Google Scholar | DOI: 10.62335/aksioma.v2i9.1789

Abstract

This study aims to analyze the financial performance of PT Bank Mandiri (Persero) Tbk during the period 2019 to 2024 using financial ratios as measurement tools, namely Net Profit Margin (NPM), Return on Assets (ROA), Return on Equity (ROE), Current Ratio, Cash Ratio, Debt to Asset Ratio (DAR), and Debt to Equity Ratio (DER). The research method employed is descriptive quantitative with secondary data obtained from the annual financial statements of PT Bank Mandiri (Persero) Tbk. The results of the analysis show that NPM experienced fluctuations, with the highest value recorded in 2023 at 61.27% and the lowest in 2020 at 30.41%. ROA reached its peak in 2023 at 2.76% and the lowest in 2020 at 1.23%. ROE also showed a similar pattern, with the highest value in 2023 at 20.88% and the lowest in 2020 at 9.10%. The Current Ratio was at its highest in 2019 at 248.63% and dropped to its lowest in 2022 at 198.21%. The Cash Ratio recorded its peak in 2022 at 18.14%, and its lowest in 2020 at 14.90%. DAR demonstrated stability, with the highest value in 2020 at 80.55% and the lowest in 2023 at 76.37%. Meanwhile, DER reached its peak in 2022 at 612.14% and its lowest in 2019 at 490.71%.
Analisis Gaya Kepemimpinan Terhadap Kualitas Pelayanan di Desa Sungai Ambangah Kecamatan Sungai Raya Kabupaten Kubu Raya Lorensius, Lorensius; Firayanti, Yuni; Saputra, Edy Suchmawan
AKSIOMA : Jurnal Sains Ekonomi dan Edukasi Vol. 2 No. 10 (2025): AKSIOMA : Jurnal Sains, Ekonomi dan Edukasi
Publisher : Lembaga Pendidikan dan Penelitian Manggala Institute

Show Abstract | Download Original | Original Source | Check in Google Scholar | DOI: 10.62335/aksioma.v2i10.1868

Abstract

In an organization or other institution, of course there is a leader as the driving force so that an organization or company can run effectively as expected in general. Leadership style is a method or strategy applied by a leader in directing or coordinating his subordinates in order to achieve the expected goals for the common good by not only relying solely on his own abilities in running the leadership of the organization he leads, but there must be cooperation. who is good with his subordinates so that there are no misunderstandings towards those he leads. This research aims to determine the leadership style applied by the Head of Sungai Ambangah Village, Sungai Raya District, Kubu Raya Regency. In preparing this thesis, the author used a qualitative approach research method. This type of research uses direct field research (field research). The data collection technique uses observation, interviews and documentation. The data analysis used descriptive qualitative, while to show the validity of the data the triangulation method was used. This triangulation method is divided into three, namely; Method Triangulation, Data Source Triangulation, and Time Triangulation.The results of this research show that the leadership style applied in Sungai Ambangah Village is in a democratic and charismatic leadership style situation. The results of this research were obtained based on the characteristics shown by the Head of Sungai Ambangah Village as the leader.
Analisis Rasio Likuiditas, Solvabilitas, Aktivitas, dan Profitabilitas Keuangan untuk Menilai Kinerja Keuangan PT. Unilever Indonesia Tbk yang Terdaftar di BEI Periode 2019-2023 Safitri, Yesi; Firayanti, Yuni; Wulansari, Fidia
AKSIOMA : Jurnal Sains Ekonomi dan Edukasi Vol. 1 No. 8 (2024): AKSIOMA : Jurnal Sains, Ekonomi dan Edukasi
Publisher : Lembaga Pendidikan dan Penelitian Manggala Institute

Show Abstract | Download Original | Original Source | Check in Google Scholar | DOI: 10.62335/7qhxn720

Abstract

This research aims to determine the financial performance of PT. Unilever Indonesia Tbk for the period 2019-2023. The financial ratios used to measure financial performance are the Liquidity Ratio instrument Current Ratio, the Solvency Ratio measuring the instrument Debt Equity Ratio, the Activity Ratio measuring instrument Total Asset turnover, and the Profitability Ratio measuring instrument Profit Margin.        The form of this research used is Qualitative. The place of the research is PT. Unilever Indonesia Tbk which is listed on the IDX. The subject of the research Financial report of PT. Unilever Indonesia Tbk for the period 2019-2023. The object of this research financial performance of PT. Unilever Indonesia Tbk for the period 2019-2023. The data collection technique for this research is documentation and literature study. The type of data used is secondary data. The data source of the financial report of PT. Unilever Indonesia Tbk for the period 2019-2023 is www.idx.co.id and www.unilever.co.id.        The results of the research showed that the Liquidity Ratio was measured using the Current Ratio of PT. Unilever Indonesia Tbk's financial performance for the 2019-2023 period is less good result. The Solvency Ratio is measured using the Debt to debt-equity ratio of PT. Unilever Indonesia Tbk's financial performance for the 2019-2023 period is less good result. The Activity Ratio was measured using the Total Asset Turnover of PT. Unilever Indonesia Tbk's financial performance for the 2019-2023 period is good result. The Profitability Ratio is measured using the Net Profit Margin of PT. Unilever Indonesia Tbk's financial performance for the 2019-2023 period is less good result.
Analisis Penggunaan E-Commerce Shopee terhadap Perilaku Konsumtif pada Generasi Z (Studi Kasus Mahasiswa Prodi Manajemen Fakultas Ekonomi Universitas Nadhlatul Ulama Kalimantan Barat) Dani, Rama; Firayanti, Yuni; Wulansari, Fidia
AKSIOMA : Jurnal Sains Ekonomi dan Edukasi Vol. 1 No. 8 (2024): AKSIOMA : Jurnal Sains, Ekonomi dan Edukasi
Publisher : Lembaga Pendidikan dan Penelitian Manggala Institute

Show Abstract | Download Original | Original Source | Check in Google Scholar | DOI: 10.62335/556n6q98

Abstract

The purpose of this study is to determine the impact of the use of e-commerce shopee in influencing consumer behavior on Generation Z students. The research method used is qualitative with case studies. Data collection techniques in this study are through interviews, observations, and documentation. The results of this study indicate that the presence of various e-commerce platforms in Indonesia greatly influences changes in people's behavior patterns, especially Generation Z students in shopping online. The consumer behavior of Generation Z students in management study programs is caused by various factors, namely affordable prices, promos and discounts, ease of use, product variety, speed of delivery, ease of returning goods, and the influence of influencers and social media. The impact of e-commerce shopee impacts students' online shopping habits. This study concludes that the presence of various e-commerce platforms on the internet has an impact on and changes in society, especially students, in online shopping in the current digital era.
Efektivitas Penggunaan Media Sosial terhadap Pemasaran Perumahan pada PT Borneo Real Properti (Studi Kasus PT Borneo Real Properti Kota Baru Pontianak) Nugroho, Nugroho; Firayanti, Yuni; Syaifudin, Syarif Muhammad
AKSIOMA : Jurnal Sains Ekonomi dan Edukasi Vol. 1 No. 8 (2024): AKSIOMA : Jurnal Sains, Ekonomi dan Edukasi
Publisher : Lembaga Pendidikan dan Penelitian Manggala Institute

Show Abstract | Download Original | Original Source | Check in Google Scholar | DOI: 10.62335/7pbac670

Abstract

PT. Borneo Real Properti is a part of the PT Fachri Property Group, part of the largest property developer in West Kalimantan which operates in the property sector (Real Estate). ). This company was founded on June 7 2018, founded by Mr. Mochammad Fachri S, Sos. PT Borneo Real Properti utilizes social media in marketing housing. The efforts made are by carrying out promotions on several social media such as Facebook, Instagram, WhatsApp, YouTube and Tiktok. In this research, data was obtained through informants. The informants in this research are consumers, potential consumers, marketing staff, and HRD managers.  This research aims to determine the effectiveness of social media on housing marketing at PT Borneo Real Properti. This research is qualitative research. Data collection through interviews, observation and documentation. Analyze this research data using qualitative data analysis. Based on the research results, it can be concluded that social media is effective in marketing housing as seen from the fact that after using social media PT Borneo Real Properti's consumers increase every month and housing sales increase every year. Barriers to marketing housing via social media are expensive advertising costs and competition between property companies with interesting content on social media.
Pengaruh Rasio Profitabilitas dan Rasio Solvabilitas terhadap Return Saham pada Sektor Pertambangan yang Terdaftar di Bursa Efek Indonesia (BEI) Tahun 2019-2023 Reza, Muhammad; Firayanti, Yuni; Saputra, Edy Suchmawan
AKSIOMA : Jurnal Sains Ekonomi dan Edukasi Vol. 1 No. 9 (2024): AKSIOMA : Jurnal Sains, Ekonomi dan Edukasi
Publisher : Lembaga Pendidikan dan Penelitian Manggala Institute

Show Abstract | Download Original | Original Source | Check in Google Scholar | DOI: 10.62335/y5y9as91

Abstract

This research was conducted to test and analyze the effect of the Profitability ratio represented by ROE and ROA while the Solvency ratio represented by DER and DAR on Stock Returns. This research uses secondary data derived from financial and annual reports of companies listed on the Indonesia Stock Exchange (IDX). The population in this research is metal and mineral mining sector companies listed on the Indonesia Stock Exchange (IDX), which publish financial and annual reports during the 2019-2023 period. The number of companies used for the sample in this research is 10 companies and the period is 5 years. The study used a purposive sampling data collection method by conducting a selection stage with certain criteria, so that the total sample in this study was 50 samples. This research is quantitative research while collecting literature study data through various sources, namely books, journals, and the internet. For hypothesis testing in research is multiple linear regression analysis, classical assumption test, and hypothesis testing with the help of SPSS version 29 software with a significance level of 5%. The results of this study indicate that the Profitability ratio represented by Return on Equity and Return on Asset has no effect on Stock Returns, while the Solvency ratio represented by Debt to Equity Ratios and Debt to Asset Ratios has no effect on Stock Returns.