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Pengaruh ROA, ROE, Dan NPM Terhadap Harga Saham Pada PT Astra Internasional, Tbk Dandi Nurul Hidayah; Alwi Alwi
Jurnal Disrupsi Bisnis Vol 5, No 1 (2022): Jurnal Disrupsi Bisnis
Publisher : Prodi Manajemen, Fakultas Ekonomi, Universitas Pamulang

Show Abstract | Download Original | Original Source | Check in Google Scholar | DOI: 10.32493/drb.v5i1.17340

Abstract

Penelitian ini bertujuan untuk mengetahui dan menganalisis pengaruh Return On Asset (ROA) ,Return On Equity (ROE) dan Net Profit Margin (NPM) terhadap Harga Saham pada PT Astra Internasional,Tbk  periode 2005-2019.  Penelitian ini berjenis asosiatif. Teknik pengambilan sampling yang digunakan adalah teknik nonprobability sampling yaitu purposive sampling. Teknik pegumpulan data bersifat dokumenter yaitu dengan cara mengunduh data laporan keuangan dan harga saham historis dari BEI. Teknik analisa data yang digunakan yaitu uji asumsi klasik, analisis regresi linear berganda, koefisien korelasi berganda, uji determinasi, uji t dan uji f. Hasil penelitian menunjukan bahwa Secara simultan terdapat pengaruh yang signifikan antara Return On Asset (ROA), Return On Equity (ROE), dan Net Profit Margin (NPM) terhadap harga saham pada PT Astra International,Tbk dengan nilai f hitung sebesar 4,063 > f tabel 3,59 dan nilai signifikasi sebesar 0,036 < 0,05. Kata Kunci: ROA; ROE; NPM; Harga Saham
Analisis Kinerja Keuangan pada PT.Ace Hardware Indonesia Tbk Nur Qomariah; Alwi Alwi
Jesya (Jurnal Ekonomi dan Ekonomi Syariah) Vol 4 No 2 (2021): Article Research Juni 2021
Publisher : LPPM Sekolah Tinggi Ilmu Ekonomi Al-Washliyah Sibolga

Show Abstract | Download Original | Original Source | Check in Google Scholar | DOI: 10.36778/jesya.v4i2.381

Abstract

This study aims to analyze the financial performance of Pt Ace Hardware Indonesia Tbk using the ratio of Return on Assets, Return on Equity, Net Profit Margin, and Gross Profit Margin. This type of research is descriptive using quantitative data from secondary data sources. The research instrument used is the income statement and financial position report for 10 years from 2010-2019. The population used is the financial report notes of Pt Ace Hardware Indonesia tbk 13 years from 2007-2019 and the research sample for 10 years from 2010-2019 with the sampling used is purposive sampling. The data analysis technique used descriptive per component analysis. In this study, data analysis of one-party t-test (One Sample t-test) was also used. The results showed that: T_count for Return on Asset (ROA), Return on Equity (ROE), Net Profit Margin (NPM) is smaller than t table so it states that Return on Asset (ROA), Return on Equity (ROE), Net Profit Margin (NPM) ) on bad Pt.Ace Hardware Indonesia Tbk. Whereas for T, the Gross Profit Margin is greater than the t table, so it states that the Gross Profit Margin at Pt Ace Hardware Indonesia Tbk is healthy.
Pengaruh Debt to Asset Ratio (Dar) terhadap Net Profit Margin (Npm) pada Pt. Temas Tbk Nurrabithatu Auliya; Alwi Alwi
Journal of Social Research Vol. 1 No. 9 (2022): Journal Of Social Research
Publisher : International Journal Labs

Show Abstract | Download Original | Original Source | Check in Google Scholar | Full PDF (403.398 KB) | DOI: 10.55324/josr.v1i9.223

Abstract

Latar Belakang : Transportasi laut memiliki peran yang penting untuk menjamin kelancaran mobilitas penduduk dan distribusi barang baik dalam negeri maupun luar negeri. Perusahaan pelayaran melakukan usaha jasa dalam bidang penyediaan ruangan kapal laut untuk kepentingan mengangkut muatan baik penumpang, hewan maupun barang Tujuan : Penelitian ini bertujuan untuk mengukur keberhasilan perusahaan. Metode : Jenis penelitian yang digunakan dalam penelitian ini adalah penelitian asosiatif, yaitu penelitian yang bertujuan untuk mengetahui hubungan antara dua Variabel atau lebih yang mempunyai hubungan sebab akibat terhadap Variabel lainnya. Hasil : Hasil penelitian ini, Keberhasilan perusahaan dapat diukur dengan menggunakan rasio keuangan. Salah satunya dengan menggunakan Debt to Total Assets Ratio (DAR). Kesimpulan : Berdasarkan hasil penelitian dan pembahasan yang telah dilakukan mengenai pengaruh debt to total asset ratio terhadap net profit margin pada PT. Temas Tbk periode 2009-2020, maka dapat di simpulkan bahwa Debt to Total Asset ratio (DAR) berpengaruh signifikan terhadap Net Profit Margin (NPM) pada PT.Temas Tbk.
Analisis Perbandingan Financial Distress Pada PT. Lotte Chemical Titan Tbk Dan PT. Berlina Tbk Menggunakan Metode Altman Z-Score Dan Springate Z-Score Juliana Amelia; Alwi Alwi
JAMBURA: Jurnal Ilmiah Manajemen dan Bisnis Vol 5, No 2 (2022): JIMB - VOLUME 5 NOMOR 2 SEPTEMBER 2022
Publisher : Universitas Negeri Gorontalo

Show Abstract | Download Original | Original Source | Check in Google Scholar | DOI: 10.37479/jimb.v5i2.16472

Abstract

Penelitian ini bertujuan untuk mengetahui perbedaan yang signifikan kondisi financial distress dengan menggunakan model Altman Z-Score dan model Springate Z-Score pada PT. Berlina Tbk dan PT. Lotte Chemical Titan Tbk. Jenis penelitian yang digunakan pada penelitian ini adalah penelitian komparatif (perbandingan). Penelitian komparatif digunakan untuk mengetahui perbandingan financial distress dengan menggunakan model Altman Z-Score dan model Springate pada PT. Berlina Tbk dan PT. Lotte Chemical Titan Tbk. Variabel dalam penelitian ini adalah Altman Z-Score dan Springate Z-Score. Metode pengambilan sampel pada penelitian ini adalah metode purposive sampling, yaitu model pemilihan sampel secara tidak acak yang informasinya diperoleh menggunakan pertimbangan tertentu dengan tujuan atau masalah penelitian dan sampel dalam penelitian ini adalah laporan keuangan pada PT. Berlina Tbk dan PT. Lotte Chemical Titan Tbk selama 7 tahun mulai dari tahun 2014 sampai tahun 2020. Analis data yang digunakan berupa uji – t Dua sampel Independen. Hasil analisis menunjukan bahwa tidak ada perbedaan yang signifikan kondisi financial distress antara PT. Berlina Tbk dan PT. Lotte Chemical Titan Tbk dengan menggunakan model Altman Z-Score. Dan tidak ada perbedaan yang signifikan kondisi financial distress antara PT. Berlina Tbk dan PT. Lotte Chemical Titan Tbk dengan menggunakan model Springate Z-Score, hasil interpretasi data dapat membandingkan nilai thitung dan ttabel. Jika thitung ttabel, maka H0 diterima dan Ha ditolak. Jadi nilai t hitung altman z-score {(-0,661) (2,179)} dan nilai t hitung springate {(-0,645) (2,179), maka H0 diterima dan Ha ditolak.
Analisis Pengaruh Kebijakan Deviden dan Struktur Modal terhadap Nilai Perusahaan dengan Profitabilitas sebagai Pemoderasi pada Perusahaan Perbankan yang Listing di BEI M Rimawan; Puji Muniarty; Alwi Alwi; Hanifah Mutiah; Aliah Pratiwi
Jesya (Jurnal Ekonomi dan Ekonomi Syariah) Vol 6 No 1 (2023): Article Research Volume 6 Number 1, Januari 2023
Publisher : LPPM Sekolah Tinggi Ilmu Ekonomi Al-Washliyah Sibolga

Show Abstract | Download Original | Original Source | Check in Google Scholar | DOI: 10.36778/jesya.v6i1.1071

Abstract

The purpose of this study was to determine the effect of capital structure and dividend policy on firm value with profitability as a moderating variable in banking companies listed on the Indonesia Stock Exchange. The research design used is quantitative research. The data used is secondary data in the form of time series data. Data analysis used Smart PLS software version 3.0. The research results show that: 1). Dividend policy has no significant effect on firm value; 2). Capital structure has no significant effect on profitability; 3) Capital structure has a significant effect on profitability; 4). Dividend policy has a significant effect on profitability; 5). Profitability has a significant effect on firm value; 6). Profitability does not have a significant role in mediating the effect of capital structure and dividend policy on firm value.
Pengaruh Earning Per Share (EPS) dan Price Earning Ratio (PER) Terhadap Harga Saham Pada PT. Unilever Indonesia, Tbk Nurul Ayu Safitri Fitri; Alwi Alwi
JUEB : Jurnal Ekonomi dan Bisnis Vol. 2 No. 3 (2023): JUEB: Jurnal Ekonomi dan Bisnis
Publisher : Yayasan Jompa Research and Development

Show Abstract | Download Original | Original Source | Check in Google Scholar

Abstract

This research aims to determine the effect of Earning Per Share (Eps) and Price Earning Ratio (Per) on share prices at Pt. Unilever Indonesia, Tbk. This type of research uses associative methods, with a quantitative approach. The data collection technique uses secondary data in the form of a Consolidated Financial Position Report, Profit and Loss Report and PT Financial Overview Report. Unilever Indonesia Tbk. In this study the population is 41 years. The sampling technique used purposive sampling, namely for 10 years from 2012-2021. And the data analysis techniques used are the classical assumption test, multiple linear regression analysis, correlation coefficient test, coefficient of determination test, and hypothesis testing (t test and f test). The research results show that Earning Pershare has a partially significant effect on share prices. Price Pershare Ratio has a partially significant effect on share prices. And simultaneously Earning PerShare and Price Earning Ratio simultaneously influence share prices.
PENGARUH MANAJEMEN MODAL KERJA TERHADAP PROFITABILITAS PADA PT. TIGA PILAR SEJAHTERA FOOD, TBK Linda Sari; Alwi Alwi
Jurnal Bina Bangsa Ekonomika Vol. 16 No. 2 (2023): Jurnal Bina Bangsa Ekonomika (JBBE)
Publisher : LP2M Universitas Bina Bangsa

Show Abstract | Download Original | Original Source | Check in Google Scholar | DOI: 10.46306/jbbe.v16i2.370

Abstract

The process of achieving maximum profit by using company assets must certainly be accompanied by the ability to manage working capital management well. This study aims to determine and analyze the effect of working capital management on profitability at PT. Tiga Pilar Sejahtera Food, Tbk with associative research type using quantitative data from secondary data sources. The research instrument used is a list of tables with population in the financial statements of PT. Tiga Pilar Sejahtera Food, Tbk which consists of income statement and balance sheet (statement of financial position) since it was listed on the IDX from 2003 to 2021, namely for 18 years. The sample in this study is the financial statements of PT. Tiga Pilar Sejahtera Food, Tbk for 10 years, from 2012 to 2021 using purposive sampling techniques. Data Collection Techniques used are documentation and literature studies. Data analysis techniques are carried out by studying classical assumptions, multiple linear regression, correlation coefficients, determination tests, t tests and f tests. The results showed that cash turnover, receivables turnover and working capital turnover had a significant effect simultaneously on the return on assets (ROA) at PT. Three Pillars of Sejahtera Food, Tbk.
Analisis Rasio Likuiditas Dan Profitabilitas Untuk Menilai Kinerja Keuangan PT. Wijaya Karya Tbk M Arjun; Alwi Alwi
Trending: Jurnal Manajemen dan Ekonomi Vol. 1 No. 4 (2023): Oktober : Trending: Jurnal Manajemen dan Ekonomi
Publisher : Universitas 45 Surabaya

Show Abstract | Download Original | Original Source | Check in Google Scholar | DOI: 10.30640/trending.v1i4.1715

Abstract

PT. Wijaya Karya, Tbk. It continues to increase from year to year, while the condition of net profit at PT. Wijaya Karya, Tbk. experienced a very significant decline in profit. Meanwhile, the condition of Total Current Assets at PT. Wijaya Karya, Tbk. Experiencing Fluctuations. Meanwhile, regarding income conditions at PT. Wijaya Karya, Tbk. Experiencing a very significant decline, the aim of this research is to find out and analyze how well the financial performance of PT. Wijaya Karya Tbk. In measuring the company's financial performance, the data analysis technique used is the financial liquidity ratio which includes the Current Ratio and profitability ratio which includes the net profit margin, the research method uses descriptive analysis and the One Sample t Test with the help of SPSS version 20. The sample used is purposive sampling is a technique for determining certain considerations. With the criteria (1) the latest data for 10 consecutive years, namely 2012-2021 (2) availability of data that can be accessed by the author, (3) 10 year sample data already represents existing population data for research needs. Based on the results of research and analysis, it shows that the company's financial performance at PT. Wijaya Karya Tbk. Judging from the liquidity ratio analysis, Current Racio is considered to be performing poorly and in terms of the profitability ratio analysis, Net Profit Margin is considered to be performing well.
Pengaruh Fixed Asset Turnover Terhadap Harga Saham Pada PT. Mayora Indah TBK Santi Pratiwi; Nurhayati Nurhayati; Alwi Alwi
Trending: Jurnal Manajemen dan Ekonomi Vol. 1 No. 4 (2023): Oktober : Trending: Jurnal Manajemen dan Ekonomi
Publisher : Universitas 45 Surabaya

Show Abstract | Download Original | Original Source | Check in Google Scholar | DOI: 10.30640/trending.v1i4.1726

Abstract

This research aims to determine the effect of fixed asset turnover on share prices at PT Mayora Indah, Tbk. This type of research is associative research with a quantitative approach. The population used are all financial reports in the form of balance sheets and profit and loss reports of PT. Mayora Indah, Tbk has been listed on the IDX for 45 years. The sample in this research is the financial report of PT. Mayora Indah, Tbk for 10 consecutive years, namely 2013-2022. The data collection techniques used are documentation and literature study techniques, namely by searching for information through books, journals and other literature. The data analysis used in this research is the Simple Linear Regression Test, Correlation Coefficient and Determination Test, and t Test. The research results show that there is no significant influence between fixed asset turnover on share prices at PT. Mayora Indah, Tbk.