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Pengaruh Pengungkapan Sustainability Report dan Return On Equity Terhadap Harga Saham Chandrika Febri Valenfani; Liya Megawati
Economics and Digital Business Review Vol. 4 No. 2 (2023): February - July
Publisher : STIE Amkop Makassar

Show Abstract | Download Original | Original Source | Check in Google Scholar | DOI: 10.37531/ecotal.v4i2.789

Abstract

Penelitian ini bertujuan untuk mengetahui apakah terdapat pengaruh Pengungkapan Sustainability Report yang diproksikan Aspek Ekonomi, Aspek Lingkungan, serta Aspek Sosial dan Return on Equity terhadap Harga Saham. Jumlah sampel yang digunakan dalam penelitian ini adalah sebanyak 6 perusahaan di sektor pertambangan dari tahun 2017-2021. Analisis yang digunakan yakni analisis statistik deskriptif, uji asumsi klasik, analisis regresi linier berganda dan pengujian hipotesis Berdasarkan hasil pengujian data penelitian didapatkan beberapa kesimpulan sebagai berikut: (1) Hasil uji secara parsial yaitu, aspek ekonomi tidak berpengaruh terhadap harga saham, aspek lingkungan berpengaruh positf terhadap harga saham, aspek sosial berpengaruh negatif terhadap harga saham, dan return on equity tidak berpengaruh terhadap harga saham. (2) Hasil uji secara simultan aspek ekonomi, aspek lingkungan, aspek sosial, dan return on equity berpengaruh terhadap harga saham.
PENGARUH PENGUNGKAPAN CSR ASPEK ENVIRONMENTAL, SOCIAL AND GOVERNANCE (ESG) TERHADAP RETURN ON ASSET (ROA) Putra, Arifin; Megawati, Liya
Journal for Management Student (JFMS) Vol. 3 No. 2 (2023): Journal For Management Student (JFMS)
Publisher : Faculty of economcs Universitas Singaperbangsa Karawang

Show Abstract | Download Original | Original Source | Check in Google Scholar | DOI: 10.35706/jfms.v3i2.10014

Abstract

Industrial development that increases and competes for profits results in a lot of environmental damage due to excessive resource exploitation. As a result, there is a lot of environmental damage and is detrimental to many parties, including the community. Therefore the government and other sectors issue regulations for industries to apply the principles of sustainability. In the principle of sustainability there is the concept of CSR which is the responsibility of the company in which there are aspects of ESG or Environmental, Social and Governance. This study aims to reveal whether the application of ESG aspects of CSR affects the profitability level of Return On Assets (ROA) in 7 companies listed on the ESG Star Listed Company Indonesia Stock Exchange 2017-2021. The analysis used is descriptive statistical analysis, classical assumption test, multiple linear regression analysis and hypothesis testing. The results of testing the data obtained several conclusions as follows: (1) Partial test results for environmental aspects (Environmental) have no effect on Return On Assets, social aspects (Social) have no effect on Return On Assets, Aspects of governance (Governance) have a significant positive effect on Return On Assets. (2) The simultaneous test results of Environmental, Social and Governance aspects (Environmental, Social, and Governance) have a significant positive effect on Return On Assets (ROA).
Pengaruh ROA, ROE, EPS Terhadap Harga Saham Pada Perusahaan Manufaktur Sektor Industri Semen Di Bursa Efek Indonesia Darmawan, Rizky Lazuardi; Megawati, Liya
JISIP: Jurnal Ilmu Sosial dan Pendidikan Vol 6, No 2 (2022): JISIP (Jurnal Ilmu Sosial dan Pendidikan)
Publisher : Lembaga Penelitian dan Pendidikan (LPP) Mandala

Show Abstract | Download Original | Original Source | Check in Google Scholar | DOI: 10.58258/jisip.v6i2.3033

Abstract

The construction and building industry sector has an important role in the development of the country's economy because it affects most economic sectors and industries in the country which is an important contributor to the infrastructure development process in providing a physical foundation on which development efforts and improving living standards can be realized. Adaoun one of them uses financial statement analysis involving financial ratios as a measuring tool, such as Return On Equity (ROE), Return On Assets (ROA) and Earning Per Share that can be considered for investment purposes. The purpose of this study was to analyze how much influence ROE, ROA, and EPS both partially and simultaneously on the stock price in the Construction and Building Industry Sub-Sector Companies listed on the Stock Exchange in the period 2016-2020. The analytical method used is quantitative analysis verification. The data was tested using SPSS v.16 with multiple linear regression analysis tests, coeficient determination, hypothesis testing that tested its validity through normality tests, multicollinearity tests, and autocorrelation tests. The sample is selected using the purposive sampling method. The results showed that some ROA and ROE variables had a significant effect on stock prices while other variables such as EPS did not have a significant effect. Simultaneous test results, namely ROE, ROA, and EPS together have an insignificant effect on stock prices.
COMMUNICATION SKILL PEMANDU LAGU DALAM MELAYANI PELANGGAN KARAOKE “XXX” DI KARAWANG ., Solehudin; Megawati, Liya
Jurnal Manajemen dan Bisnis Kreatif Vol 4 No 2 (2019): JURNAL MANAJEMEN DAN BISNIS KREATIF
Publisher : LPPM Universitas Buana Perjuangan Karawang

Show Abstract | Download Original | Original Source | Check in Google Scholar | DOI: 10.36805/manajemen.v4i2.528

Abstract

ABSTRAK Penelitian ini bertujuan untuk mengetahui Communication Skill pemandu lagu dalam melayani pelanggan karaoke “XXX” di Kabupaten Karawang. Penelitian ini membahas tentang kemampuan komunikasi dilihat dari komunikasi verbal, komunikasi non verbal, yang mendasari Communication Skill tersebut. Penelitian ini menggunakan pendekatan kualitatif dengan pendekatan dramaturgi. Proses pemilihan informan menggunakan teknik purposive sampling. Informan penelitian pada penelitian ini berjumlah 3 orang informan, teknik pengumpulan data dengan wawancara mendalam, dokumentasi, study kepustakaan dan pencarian data di internet. Uji keabsahan data dalam penelitian kualitatif meliputi beberapa pengujian. Peneliti menggunakan uji credibility (validitas internal) atau uji kepercayaan terhadap hasil penelitian. Uji keabsahan data ini diperlukan untuk menentukan valid atau tidaknya suatu temuan atau data yang dilaporkan peneliti dengan apa yang terjadi sesungguhnya di lapangan. Peningkatan ketekunan, Diskusi dengan teman sejawat, Membercheck. Hasil dari penelitian ini adalah Komunikasi Verbal yang digunakan oleh Pemandu Lagu yaitu : S a l a m Tips untuk menyatakan bonus atau uang tambahan lebih yang diberikan pelanggan untuk pemandu lagu, DiAngetan yaitu untuk menawarkan minuman beralkohol yang biasanya di tawarkan oleh pemandu lagu untuk pelanggannya, Goyang yaitu cara untuk menawarkan atau ajakan untuk berjoget. Itulah istilah – istilah yang di gunakan oleh pemandu lagu dalam berinteraksi atau berkomunikasi dengan pelanggannya. Komunikasi Non Verbal Pemandu Lagu yaitu gestur tubuh sangat penting seperti: Ekspresi Wajah, Kontak Mata, Senyum, Bersalaman. Penampilan fisik. Seperti: Kostum atau Seragam, Penggunaan Make up, Accessories dan Parfum. Kata kunci : Komunikasi Verbal, Komunikasi Non Verbal
PENGARUH RETURN ON ASSETS, RETURN ON EQUITY, DAN DEBT-TO-EQUITY RATIO TERHADAP HARGA SAHAM PADA PERUSAHAAN SUBSEKTOR TELEKOMUNIKASI YANG TERDAFTAR DI BURSA EFEK INDONESIA PERIODE 2014-2018 Fitri Nur Afifah; Liya Megawati
Modus Vol. 33 No. 1 (2021): MODUS
Publisher : Faculty of Business and Economics Universitas Atma Jaya Yogyakarta

Show Abstract | Download Original | Original Source | Check in Google Scholar | DOI: 10.24002/modus.v33i1.4063

Abstract

ABSTRACTTechnological advances and the increasing use of telecommunications services have made companies in the telecommunications sector continue to develop their business, however these companies experience various obstacles, one of which is not being careful in making funding decisions. This study aims to determine the Return on Assets (X1), Return on Equity (X2), Debt to Equity Ratio (X3), and stock price (Y) and to test and analyze whether there is an effect of Return on Assets, Return on Equity, and Debt to Equity Ratio on stock prices either partially or simultaneously. The method used in sample selection is purposive sampling. This study uses SPSS version 24 to process data. The results showed that Return on Assets, Return on Equity, and Debt to Equity Ratio had a significant positive effect on stock prices partially. Then there is a simultaneous influence of Return on Assets, Return on Equity and Debt to Equity Ratio on stock prices with an F value of 7.559 and a significant value of 0.001. The R Square value obtained is 0.519 or 51.9%.Keywords: Return on Assets; Return on Equity; Debt to Equity Ratio; stock pricesABSTRAKKemajuan teknologi dan meningkatnya penggunaan layanan telekomunikasi membuat perusahaan pada bidang telekomunikasi terus mengembangkan usahanya, namun perusahaan-perusahaan tersebut mengalami berbagai hambatan, salah satunya yaitu kurang cermat dalam mengambil keputusan pendanaan. Penelitian ini bertujuan untuk mengetahui Return on Assets (X1), Return on Equity (X2), Debt to Equity Ratio (X3), dan harga saham (Y) serta menguji dan menganalisis apakah terdapat pengaruh Return on Assets, Return on Equity, dan Debt to Equity Ratio terhadap harga saham baik parsial maupun simultan. Metode yang digunakan dalam pemilihan sampel adalah purposive sampling. Penelitian ini menggunakan program SPSS versi 24 untuk mengolah data. Hasil penelitian menunjukkan bahwa Return on Assets, Return on Equity, dan Debt to Equity Ratio berpengaruh positif signifikan terhadap harga saham secara parsial. Kemudian terdapat pengaruh secara simultan antara Return on Assets, Return on Equity, dan Debt to Equity Ratio terhadap harga saham dengan nilai F hitung 7,559 dan nilai signifikan 0,001. Nilai R Square yang didapat sebesar 0,519 atau sebesar 51,9%.Kata kunci: Return on Assets; Return on Equity; Debt to Equity Ratio; harga saham
ANALISIS KINERJA REKSA DANA SYARIAH MENGGUNAKAN METODE SHARPE DAN TREYNOR (STUDI KASUS PADA REKSA DANA SAHAM SYARIAH PERIODE 2015-2019) Siti Habibah Paitrin Lakaud; Liya Megawati
Modus Vol. 33 No. 1 (2021): MODUS
Publisher : Faculty of Business and Economics Universitas Atma Jaya Yogyakarta

Show Abstract | Download Original | Original Source | Check in Google Scholar | DOI: 10.24002/modus.v33i1.4069

Abstract

ABSTRACTToday's modern society is starting to explore the world of investment to make their ends meet, but it’s still constrained by a lack of expertise and knowledge of investing in the capital market. The majority of Indonesians who are Muslims are also considered when choosing an investment system. Sharia equity fund can be used as an investment instrument for Muslim in Indonesia which is managed by the Investment Manager and Custodian Bank supervised by the Financial Services Authority (OJK). This study aims to analyze the performance of Sharia Equity Funds using the Sharpe and Treynor methods and determine the comparison of the performance of Sharia Equity Funds and benchmark. The research method used is descriptive method with a quantitative approach. The results of the study using the Sharpe method and Treynor method with Benchmark Comparison show one Sharia Equity Fund that consistently outperforms, namely OSO Sharia Equity Fund from PT. OSO Investment Management.Keywords: investment; Sharia Equity Fund; Sharpe; Treynor; BenchmarkABSTRAKMasyarakat modern saat ini mulai merambah dunia investasi dalam rangka memenuhi kebutuhan hidupnya, namun terkendala kurangnya keahlian berinvestasi di pasar modal. Mayoritas penduduk Indonesia yang beragama Islam juga menjadi pertimbangan dalam memilih sistem investasi. Reksa dana saham syariah dapat dijadikan sebagai salah satu instrumen investasi bagi masyarakat Muslim di Indonesia dan memiliki keunggulan berupa pengelolaan portofolio oleh Manajer Investasi dan Bank Kustodian serta diawasi langsung oleh Otoritas Jasa Keuangan (OJK). Penelitian ini bertujuan untuk menganalisis kinerja Reksa Dana Saham Syariah menggunakan metode Sharpe dan Treynor serta mengetahui perbandingan kinerja Reksa Dana Saham Syariah dengan kinerja Benchmark selama periode penelitian. Metode penelitian yang digunakan adalah metode deskriptif dengan pendekatan kuantitatif. Hasil penelitian menggunakan metode Sharpe dan Treynor dengan perbandingan Benchmark menunjukkan terdapat satu Reksa Dana Saham Syariah yang secara konsisten outperform yaitu OSO Syariah Equity Fund dari PT. OSO Manajemen Investasi.Kata kunci: investasi; Reksa Dana Saham Syariah; Sharpe; Treynor; Benchmark
Pengaruh Current Ratio (CR), Debt of Equity Ratio (DER) dan Net Profit Margin (NPM) Terhadap Harga Saham Pada Perusahaan sub sektor Konstruksi Bangunan yang Terdaftar di Bursa Efek Indonesia Periode 2018-2022 Eka Prasetya Tanaya; Safa Amanda; Liya Megawati
Jurnal Ilmiah Wahana Pendidikan Vol 10 No 2 (2024): Jurnal Ilmiah Wahana Pendidikan
Publisher : Peneliti.net

Show Abstract | Download Original | Original Source | Check in Google Scholar | DOI: 10.5281/zenodo.10485748

Abstract

The capital market plays an important role in the country's economy, one of which is to obtain sources of funds and optimize the allocation of economic resources. An investor must have the ability to understand future capital market conditions when making investment decisions. The construction sub-sector company's share price movement looks quite volatile and tends to decline. There are several factors that can affect stock movements such as the Current Ratio, Debt Equity of Ratio and Net Profit Margin. The method used in this research is descriptive verification method and uses a quantitative approach. The aim is to provide clarity for research with the support of data analysis and literature studies in the form of figures that have been collected. Current Ratio and Net Profit Margin do not partially affect the stock price while the Debt Equity of Ratio partially affects the stock price. the CR, DER, and NPM variables affect the dependent variable, namely the stock price of 61.9%. While the remaining 38.1% is influenced by other factors not examined. The company must make more efforts to improve the financial condition of the company which has a significant role and impact on its share price, so that it can attract investors to invest in the company.
PENGARUH JKT48 SEBAGAI BRAND AMBASSADOR ERIGO APPAREL TERHADAP KEPUTUSAN PEMBELIAN Arifin - Putra; Liya Megawati
Jurnal Ilmiah Wahana Pendidikan Vol 10 No 4 (2024): Jurnal Ilmiah Wahana Pendidikan
Publisher : Peneliti.net

Show Abstract | Download Original | Original Source | Check in Google Scholar | DOI: 10.5281/zenodo.10501245

Abstract

Today the trend of online shopping (Online Shopping) continues to grow rapidly, so that many parties are trying to take advantage of this opportunity as a place to sell products. Erigo Apparel is a local Indonesian fashion brand that competes with business people in other fashion sectors through online stores and social media. As one of the marketing strategies implemented, Erigo Apparel cooperates with the idol group JKT48 from Jakarta Indonesia, which is the sister group of the famous AKB48 idol group from Akihabara Japan which has millions of fans and JKT48 has been around for more than 12 years since its inception. This study aims to prove the influence of JKT48 as Erigo Apparel's brand ambassador on purchasing decisions. The sample used in this study are fans of the JKT48 idol group who are more than 15 years old. The analytical technique used is the Multiple Linear Regression technique, so that it can be easier to see whether JKT48 has an effect on the decision to buy Erigo Apparel products.
Pengaruh Brand Awareness Terhadap Loyalitas Pelanggan Pada Konsumen Semen Tiga Roda Chandrika Febri Valenfani; Liya Megawati
Jurnal Ilmiah Wahana Pendidikan Vol 10 No 1 (2024): Jurnal Ilmiah Wahana Pendidikan
Publisher : Peneliti.net

Show Abstract | Download Original | Original Source | Check in Google Scholar | DOI: 10.5281/zenodo.1046608

Abstract

This study aims to examine the effect of Brand Awareness on customer loyalty. The research was conducted on 100 respondents of Semen Tiga Roda consumers who were taken by simple random sampling technique and given a 16 statement questionnaire with a Likert scale to measure responses to research variables. This study conducted the Classical Assumption Test, Hypothesis Testing with the t test, and the Coefficient of Determination. The results showed that there was a significant influence between Brand Awareness and customer loyalty
The Influence of Financial Performance on Profit Growth with Dividend Policy as a Moderating Variable in BUMN Banking Listed on the IDX for the 2019-2023 Period Setiawan, Yayan; Megawati, Liya
QISTINA: Jurnal Multidisiplin Indonesia Vol 3, No 2 (2024): December 2024
Publisher : CV. Rayyan Dwi Bharata

Show Abstract | Download Original | Original Source | Check in Google Scholar | DOI: 10.57235/qistina.v3i2.4415

Abstract

The aim of this research is to obtain empirical evidence regarding the influence of company financial performance which is proportional to the current ratio, total assets turnover and return on assets. This research also tests dividend policy as a moderating variable which is proportional to the dividend payout ratio. The following study uses descriptive descriptive research methods with a quantitative approach.  Secondary data contained in this study includes financial data from BBRI, BBNI, BMRI and BBTN for the 2019-2023 period. Data processing was carried out using the SPSS version 25 program. The results of this research show that simultaneously all variables in the research have an effect on financial growth. Individually, the variables CR and TATO have no influence, on the other hand, ROA has a significant influence. The DPR variable is able to moderate and strengthen the CR variable, on the other hand the DPR variable is not able to moderate the TATO and ROA variables on profit growth.