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Journal : Jurnal Keuangan dan Perbankan

KARAKTERISTIK PERUSAHAAN SEBAGAI DETERMINAN INTERNET FINANCIAL AND SUSTAINABILITY REPORTING Indri Kartika; Apsarida Mila Puspa
Jurnal Keuangan dan Perbankan Vol 17, No 2 (2013): May 2013
Publisher : University of Merdeka Malang

Show Abstract | Download Original | Original Source | Check in Google Scholar | Full PDF (192.368 KB) | DOI: 10.26905/jkdp.v17i2.737

Abstract

The information technological development had facilitated companies to provide and spread informationaround the world. Through websites for an example, a company could present financial and non-financialreports which ensured the stakeholders based on the going concern status of the company. This researchexamined company characteristics as the internet financial and the sustainability reporting (IFSR) determinants.The research applied non-financial company populations which had website facilities and were listed inIndonesian Stock Exchange in 2009-2010. Using a purposive sampling technique, it obtained 326 companies.The analytical data method used in this research was a multiple-regression, of which the degree of significancewas 5%. The research result showed that size, profitability, and auditor influenced significantly and positivelytoward IFSR. While, the external ownership structure and listing age of companies influenced significantlyand negatively toward IFSR. On the other hand, leverage and types of industry and listing age ofcompanies had negative influences but not really significant towards IFSR.
KEPERCAYAAN INVESTOR TERHADAP KINERJA PERBANKAN GO PUBLIC DI BURSA EFEK JAKARTA Maya Indriastuti; Indri Kartika
Jurnal Keuangan dan Perbankan Vol 12, No 1 (2008): January 2008
Publisher : University of Merdeka Malang

Show Abstract | Download Original | Original Source | Check in Google Scholar | Full PDF (184.446 KB) | DOI: 10.26905/jkdp.v12i1.878

Abstract

Monetary crisis in Indonesia had given wide influence on Indonesia Businesscondition. There was money crisis in many companies, including banking firms, that affectedlower public confidence. This study examined the influence of financial performance thatwas represented by the financial ratio to the stock price. There were10 financial ratios thatpredicted influence stock price. Data in this study wais collected from 11 go-public bankingcompanies in Jakarta Stock Exchange in 2001- 2005 by using purposive sampling method. Thefactor analysis was used to identify dimension of each variable, and regression analysis wasused to test the hypothesis. The empirical result showed that simultaneously, all financialratios influenced to stock price. Partially, only two ratios affected the stock price.