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PENGARUH LIKUIDITAS, LEVERAGE DAN PROFITABILITAS TERHADAP HARGA SAHAM PADA PERUSAHAAN SUBSEKTOR TELEKOMUNIKASI YANG TERDAFTAR DI BURSA EFEK INDONESIA Azzahra Bulan Maghfira; Dwi Susilowati; Nadi Hernadi Moorcy
Journal of Economic, Bussines and Accounting (COSTING) Vol. 7 No. 6 (2024): COSTING : Journal of Economic, Bussines and Accounting
Publisher : Institut Penelitian Matematika, Komputer, Keperawatan, Pendidikan dan Ekonomi (IPM2KPE)

Show Abstract | Download Original | Original Source | Check in Google Scholar | DOI: 10.31539/costing.v7i6.14251

Abstract

Tujuan penelitian ini adalah untuk mengetahui pengaruh Current Ratio, Debt to Asset Ratio, Return On Equity terhadap harga saham. Dalam penelitian ini jumlah populasi sebanyak 22 perusahaan dan sampel sebanyak 9 perusahaan subsektor Telekomunikasi yang terdaftar di Bursa Efek Indonesia yang diambil dengan menggunakan teknik purposive sampling. Penelitian ini menggunakan metode kuantitatif dengan alat analisis SPSS. Hasil Uji t (parsial) pada penelitian ini menunjukkan bahwa Current Ratio berpengaruh negatif dan signifikan terhadap harga saham, Debt to Asset Ratio berpengaruh positif dan signifikan terhadap harga saham dan Return on Equity berpengaruh negatif dan signifikan terhadap harga saham pada Perusahaan subsektor Telekomunikasi yang terdaftar di Bursa Efek Indonesia.
PENGARUH FINTECH PAYMENT, LITERASI KEUANGAN, DAN LOCUS OF CONTROL TERHADAP MANAJEMEN KEUANGAN MAHASISWA MANAJEMEN UNIVERSITAS BALIKPAPAN Deandra Enindyta; Dwi Susilowati; Nadi Hernadi Moorcy
Journal of Economic, Bussines and Accounting (COSTING) Vol. 7 No. 6 (2024): COSTING : Journal of Economic, Bussines and Accounting
Publisher : Institut Penelitian Matematika, Komputer, Keperawatan, Pendidikan dan Ekonomi (IPM2KPE)

Show Abstract | Download Original | Original Source | Check in Google Scholar | DOI: 10.31539/costing.v7i6.14354

Abstract

Penelitian ini bertujuan untuk menganalisis pengaruh fintech payment, literasi keuangan, dan locus of control terhadap perilaku manajemen keuangan mahasiswa Manajemen Universitas Balikpapan. Jenis penelitian yang digunakan adalah penelitian kuantitatif dengan metode pengumpulan data melalui penyebaran kuesioner menggunakan google form. Populasi dalam penelitian ini adalah Mahasiswa Kelas A Program Studi Manajemen Fakultas Ekonomi dan Bisnis Angkatan 2021 Universitas Balikpapan. Sampel diambil dari keseluruhan populasi yaitu sebanyak 123 orang. Metode analisis data yang digunakan dalam penelitian ini yaitu analisis statistik deskriptif; uji instrumen, yang terdiri dari uji validitas dan uji reliabilitas; uji asumsi klasik yaitu uji normalitas, multikolinearitas, dan heteroskedastisitas; analisis regresi berganda; uji anova yaitu koefisien korelasi, koefisien determinasi, uji simultan (uji F); dan uji hipotesis yaitu uji parsial (uji t). Hasil penelitian menunjukkan bahwa, variabel fintech payment dan locus of control berpengaruh positif dan signifikan terhadap perilaku manajemen keuangan mahasiswa Manajemen Universitas Balikpapan. Sedangkan variabel literasi keuangan berpengaruh negatif dan tidak signifikan terhadap perilaku manajemen keuangan mahasiswa Manajemen Universitas Balikpapan.
Factors affecting dividend payment policy in Indonesian banking sectors moderated by return on assets Susilowati, Dwi
IQTISHADUNA: Jurnal Ilmiah Ekonomi Kita Vol 14 No 1 (2025): IQTISHADUNA: Jurnal Ilmiah Ekonomi Kita - June
Publisher : LPPM ISNJ Bengkalis

Show Abstract | Download Original | Original Source | Check in Google Scholar | DOI: 10.46367/iqtishaduna.v14i1.2461

Abstract

Purpose – This study analyses how the debt-to-equity ratio, current ratio, and free cash flow influence the dividend payment policy moderated by return on assets. Method – This study uses a quantitative approach with secondary data. Every Indonesian bank listed on the Indonesia Stock Exchange (IDX) between 2019 and 2023 as the research population amounts to 47 companies. Observation data of 90 were taken from 18 banks as samples selected using a purposive sampling technique. The data is analyzed using moderated regression analysis (MRA). Based on the results of the Chow and Hausman tests, the random effect model was chosen. Findings – The findings of this study show that the current ratio, free cash flow, and return on assets positively impact the dividend payment policy. In contrast, the debt-to-equity ratio does not impact dividend policy. Return on assets can strengthen the influence of the current ratio and free cash flows on dividend payout. However, return on assets cannot moderate the relationship between debt-to-equity ratio and dividend payout. Implications – This study can complement existing theories and provide a starting point for researchers to investigate dividend theory in the stock market further, advancing the understanding of this complex financial dynamic on a global scale. These findings provide valuable insights for management in setting dividend policy and highlight potential strategies to enhance shareholder value.
Pengaruh Ukuran Perusahaan, Struktur Modal, Profitabilitas Terhadap Kualitas Laba pada Perusahaan Subsektor Makanan dan Minuman yang Terdaftar di Bursa Efek Indonesia Reisha Putri Nabila; Dwi Susilowati; Winda Lestari
Al-Kharaj: Jurnal Ekonomi, Keuangan & Bisnis Syariah Vol. 8 No. 5 (2026): Al-Kharaj: Jurnal Ekonomi, Keuangan & Bisnis Syariah
Publisher : Intitut Agama Islam Nasional Laa Roiba Bogor

Show Abstract | Download Original | Original Source | Check in Google Scholar | DOI: 10.47467/alkharaj.v8i5.11760

Abstract

Reisha Putri Nabila (2026). The Effect of Company Size, Capital Structure, and Profitability on Earnings Quality in Food and Beverage Subsector Companies Listed on The Indonesia Stock Exchange. Supervisors : Ms. Dwi Susilowati and Ms. Winda Lestari. The purpose of this study is to the determine the effect of company size, capital structure, and profitability on earnings quality in food and beverage subsector companies listed on the Indonesia Stock Exchange. This study used quantitative research with multiple linear regression analysis. This study used sample 0f 16 companies. The test used to validate this study were the classical assumption test, consisting of normality, multicollinearity, heteroscedasticity, and autocorrelation. Multiple linear regression analysis and ANOVA tests, consisting of the correlation coefficient (R), the coefficient of determination (), and the F-statistic test, were also used. Hypothesis testing consisted of the t-test. The test results show that company size and capital structure do not have a significant effect on earnings quality, while profitability has a significant influence on earnings quality.
Artificial Intelligence Model for Human Capital Management Didik Hadiyatno; Dwi Susilowati; Nadi Hernadi Moorcy; Imam Arrywibowo; Tutik Yuliani
Jurnal Penelitian Pendidikan IPA Vol 9 No 10 (2023): October
Publisher : Postgraduate, University of Mataram

Show Abstract | Download Original | Original Source | Check in Google Scholar | DOI: 10.29303/jppipa.v9i10.5083

Abstract

Artificial Intelligence is a technology that allows machines to learn and adapt quickly from given data without having to be explicitly programmed. AI has found its place in many industries and has great potential to improve the efficiency of human resources within organizations. In this article, we will discuss how the use of artificial intelligence can help improve human resource efficiency. This review is a literature search with an elaborative approach. This approach is a methodological effort by organizing the logic flow of the discussion with various compatible literature sources. Reliable literature sources come from journals, books, articles, and other sources relevant to this discourse. The result of the study is that human resource management needs to adjust to the needs of the organization and adjust the culture or corporate culture to the technological culture. Human interaction with machines is an inevitable necessity. The existence of artificial intelligence is very helpful in human resource management, for example in recruitment systems, training, data analysis, performance analysis, and operational duty efficiency.
Implementasi Manajemen keuangan Sederhana bagi Siswa Teknik Mesin untuk Menumbuhkan Sikap Menghargai Rupiah Tanpa Judi Online Di SMK Persada Bhakti Tutik Yuliani; Dika Karlinda Sari; Dwi Susilowati; Fransiskus Antonius Pabaru; Nur Raihaine Fetry
Jurnal Pengabdian Masyarakat (ABDIRA) Vol 6, No 3 (2026): Abdira
Publisher : Universitas Pahlawan Tuanku Tambusai

Show Abstract | Download Original | Original Source | Check in Google Scholar | DOI: 10.31004/abdira.v6i3.1956

Abstract

The purpose of this Community Service activity is to provide students with an understanding of how to respect the rupiah without resorting to online gambling through the socialization activity "Respecting the Rupiah Without Online Gambling Through Education and Solutions" at SMK Persada Bhakti. The method used in this activity was a socialization combined with discussion and questions and answers between participants and speakers. The results of this community service activity were able to increase students' knowledge regarding the importance of capital markets respecting the rupiah without online gambling, this was demonstrated by all students participating in questions and answers related to the material presented. Education has proven to be one of the most effective interventions to respect the rupiah and prevent dependence on online gambling from an early age. Continuity of the program and support from all parties are needed for a broader and more sustainable impact.
Perception of Integrity and Patient Satisfaction Toward the Quality of Service in Government Hospitals: A Study Andi Surayya Mappangile; Andi Marini Indriani; Dwi Susilowati; Rivaldi Nugraha; Cornelius Prihandoyo; Isradi Zainal
Indonesian Journal of Global Health Research Vol. 8 No. 2 (2026): Indonesian Journal of Global Health Research
Publisher : GLOBAL HEALTH SCIENCE GROUP

Show Abstract | Download Original | Original Source | Check in Google Scholar | DOI: 10.37287/ijghr.v8i2.1856

Abstract

Service quality and the integrity of public service delivery are two fundamental dimensions in building public trust in government hospitals. In the healthcare sector, patient satisfaction is influenced not only by technical aspects of medical services but also by perceptions of transparency, fairness, and the absence of corrupt practices. This study aims to analyze anti-corruption perceptions and patient satisfaction regarding the quality of service at RSUD dr. Kanujoso Djatiwibowo, a government referral hospital in Indonesia. This study employed a cross-sectional design with a quantitative approach. Data were collected using the Anti-Corruption Perception Survey (SPAK), which covers five integrity elements, and the Service Quality Perception Survey (SPKP), which comprises twelve elements of service satisfaction. The sample consisted of 892 service users distributed across 13 hospital service units.  The Data was collected through structured questionnaires given directly to patients and their families in 13 hospital service units, analysis was performed descriptively by calculating the Average Value (NRR), the Anti-Corruption Perception Index (IPAK), and the Service Quality Perception Index (IPKP). The results demonstrate that the IPAK score is 99.117 and the IPKP score is 98.319, both of which fall into the "very good" category. Integrity elements consistently received high scores across all service units, while service satisfaction elements showed limited variation, with facilities and infrastructure identified as the elements with the relatively lowest values albeit still remaining in the "very good" category.
Analisis Return Saham dan Volume Perdagangan Saham Sebelum dan Sesudah Stock Split pada Perusahaan yang Terdaftar di Bursa Efek Indonesia Dityo Cahyo Anggoro; Dwi Susilowati; Nadi Hernadi Moorcy
JSHP : Jurnal Sosial Humaniora dan Pendidikan Vol. 9 No. 1 (2025)
Publisher : Pusat Penelitian dan Pengabdian kepada Masyarakat Politeknik Negeri Balikpapan.

Show Abstract | Download Original | Original Source | Check in Google Scholar | DOI: 10.32487/jshp.v9i1.2355

Abstract

Penelitian ini bertujuan untuk mengetahui perbedaan return saham dan volume perdagangan sebelum dan sesudah terjadinya stock split pada perusahaan yang terdaftra di Bursa Efek Indonesia. Penelitian ini menggunakan metode kuantitatif diskriptif dengan jenis penelitian event study dengan analisis data menggunakan uji normalitas one-sample Kolmogorov-Smirnov test dan uji paired sample T-test (teknik analisis statistik) serta menggunakan alat bantu analisis berupa aplikasi SPSS. Sampel berjumlah 30 perusahaan yang terdaftar di Bursa Efek Indonesia yang melaukan stock split pada periode 2019-2023. Hasil penelitian ini menunjukkan bahwa adanya perubahan yang signifikan pada variabel return saham sebelum dan sesudah stock split pada perusahaan yang terdaftar di Bursa Efek Indonesia dan tidak ada perubahan yang signifikan pada Volume Perdagangan Saham sebelum dan sesudah Stock Split pada perusahaan yang terdaftar di Bursa Efek Indonesia.
Kenaikan Harga Saham Perusahaan Farmasi di Bursa Efek Indonesia (BEI): Peran Likuiditas, Leverage, Aktivitas dan Profitabilitas Khairunnisa Khairunnisa; Dwi Susilowati; Nadi Hernadi Moorcy
JSHP : Jurnal Sosial Humaniora dan Pendidikan Vol. 9 No. 2 (2025)
Publisher : Pusat Penelitian dan Pengabdian kepada Masyarakat Politeknik Negeri Balikpapan.

Show Abstract | Download Original | Original Source | Check in Google Scholar | DOI: 10.32487/jshp.v9i1.2363

Abstract

Penelitian ini bertujuan untuk menguji pengaruh Current Ratio (CR), Debt to Assets Ratio (DAR), Total Assets Turnover (TATO) dan Net Profit Margin (NPM) terhadap Harga Saham. Penelitian ini menggunakan jenis penelitian dengan pendekatan kuantitatif. Populasi yang digunakan dalam penelitian ini adalah perusahaan subsektor farmasi yang terdaftar di Bursa Efek Indonesia periode 2018-2023. Teknik pengambilan sampel menggunakan purposive sampling, sehingga diperoleh sampel sejumlah 9 perusahaan dengan sampel observasi sebanyak 54. Teknik analisis regresi data pada penelitian ini menggunakan analisis berganda. Hasil penelitian ini menunjukkan bahwa variabel CR, DAR,TATO, dan NPM secara simultan berpengaruh terhadap Harga Saham. Hasil uji menunjukkan bahwa CR berpengaruh negatif dan tidak signifikan terhadap harga saham, DAR berpengaruh negatif dan signifikan terhadap harga saham, TATO berpengaruh positif dan signifikan terhadap harga saham dan NPM berpengaruh positif dan tidak signifikan terhadap harga saham
PENGARUH FAKTOR INFLASI, KURS VALUTA ASING, DAN TINGKAT SUKU BUNGA TERHADAP IHSG Dwi Susilowati; Nehemya Gienah Rabecca Welang; Nadi Hernadi Moorcy
Jurnal Bisnis, Ekonomi, dan Sains Vol. 5 No. 1 (2025): Jurnal Bisnis, Ekonomi dan Sains
Publisher : Universitas Widyatama

Show Abstract | Download Original | Original Source | Check in Google Scholar | DOI: 10.33197/bes.vol5.iss1.2025.2971

Abstract

The Jakarta Composite Index (JCI) is an index that reflects the performance of companies listed on the Indonesia Stock Exchange (IDX). Many factors influence the Jakarta Composite Index, including macroeconomic and microeconomic factors. The purpose of this study was to determine the economic factors, including the inflation rate, the rupiah exchange rate, and interest rates, on the Jakarta Composite Index for the 2020-2024 period. The sample size was 60 companies. The data analysis technique used was multiple linear regression with SPSS. The test results showed that inflation significantly affected the Jakarta Composite Index, while the rupiah exchange rate did not significantly affect the Jakarta Composite Index, and interest rates significantly affected the Jakarta Composite Index.