Claim Missing Document
Check
Articles

Analisis Kinerja Keuangan Perusahaan Sebelum Dan Sesudah Merger Dan Akuisisi Pada Perusahaan Yang Terdaftar Di Bursa Efek Indonesia (BEI) Tahun 2014-2018 Meriyana Fransissca Dungga; Abd Rahman Pakaya; Wina Aswinarti MS; Srie Isnawaty Pakaya
JAMBURA: Jurnal Ilmiah Manajemen dan Bisnis Vol 6, No 1 (2023): JIMB - VOLUME 6 NOMOR 1 MEI 2023
Publisher : Universitas Negeri Gorontalo

Show Abstract | Download Original | Original Source | Check in Google Scholar | DOI: 10.37479/jimb.v6i1.19192

Abstract

Penelitian ini bertujuan untuk mengetahui kinerja keuangan perusahaan sebelum dan sesudah melakukan merger dan akuisisi. Penelitian ini juga bertujuan untuk memberikan bahan pertimbangan bagi investor dalam melakukan investasi. Jenis penelitian ini adalah penelitian kuantitatif. Teknik pengumpulan data menggunakan metode dokumentasi dan kepustakaan. Pemilihan sampel dilakukan dengan metode purposive sampling. Populasi penelitian ini adalah perusahaan go public yang terdaftar di Bursa Efek Indonesia (BEI) dengan 10 sampel perusahaan pada periode pengamatan tahun 2014-2018. Analisis data yang digunakan dalam penelitian ini yaitu uji asumsi klasik dan pengujian hipotesis. Data diolah menggunakan software computer yaitu SPSS versi 22.0. Hasil penelitian menunjukkan bahwa: (1) Variabel current ratio sebelum dan sesudah merger dan akuisisi menunjukkan perbedaan. (2) Variabel debt to equity ratio sebelum dan sesudah merger dan akuisisi menunjukkan tidak terdapat perbedaan yang signifikan. (3) Variabel total asset turn over sebelum dan sesudah merger dan akuisisi menunjukkan tidak terdapat perbedaan yang signifikan. (4) Variabel return on equity sebelum dan sesudah merger dan akuisisi menunjukkan tidak terdapat perbedaan yang signifikan.
Pengaruh Perilaku Konsumen Terhadap Keputusan Pembelian Merchandise Pada Komunitas Penggemar Grup Kpop NCT di Gorontalo Armaku , Kholkartya Novianti; Hinelo, Raflin; Dungga, Meriyana Fransissca
Economics and Digital Business Review Vol. 6 No. 1 (2025): Agustus - January
Publisher : STIE Amkop Makassar

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

Abstract

Penelitian ini bertujuan untuk mengetaui adanya pengaruh dari Perilaku Konsumen terhadap Keputusan Pembelian Merchandise pada Komunitas penggemar grup Kpop NCT di gorontalo. Penelitian ini menggunakan 134 responden anggota komunitas penggemar grup Kpop NCT di Gorontalo. Metode sampling yang digunakan dalam penelitian ini adalah teknik sampel non probability sampling dan jenis data yang digunakan dalam penelitian ini adalah data primer. Metode analisis data yang digunakan adalah uji validitas dan reabilitas, uji normalitas, uji regresi linear sederhana dan Pengujian Hipotesis. Hasil penelitian menunjukkan bahwa secara parsial Perilaku Konsumen berpengaruh terhadap Keputusan Pembelian ditunjukkan dengan nilai t hitung 6,234>1,656. Nilai R Square dalam penelitian ini adalah variabel Perilaku Konsumen dalam menjelaskan variabel Keputusan Pembelian sebesar 0,666 atau 66,6%. Sedangkan sisanya sebesar 33,4% dipengaruhi oleh variabel lain yang tidak diteliti dalam penelitian ini.
Analisis Rasio Profitabilitas Sebagai Alat Ukur Untuk Menilai Kinerja Keuangan Perusahaan Sektor Telekomunikasi Yang Terdaftar Di Bursa Efek Indonesia Dea Angraini Anu; Selvi Selvi; Meriyana Franssisca Dungga
J-CEKI : Jurnal Cendekia Ilmiah Vol. 4 No. 1: Desember 2024
Publisher : CV. ULIL ALBAB CORP

Show Abstract | Download Original | Original Source | Check in Google Scholar | DOI: 10.56799/jceki.v4i1.6253

Abstract

Competition in the business world is increasingly competitive, so companies are required to be able to control business activities better than competing companies. The aim of this research is to determine the financial performance of telecommunications companies listed on the Indonesia Stock Exchange in terms of financial ratio analysis. The financial ratios used are profitability ratios. This type of research is descriptive quantitative research. The research data used is secondary data obtained from the Indonesian Stock Exchange. The results of this research can be seen from the calculation of profitability ratios in telecommunications sector companies listed on the Indonesian stock exchange for the 2020-2022 period with the net profit margin calculation showing good performance, return on assets showing poor financial performance, return on equity showing poor financial performance and gross profit margin shows very good financial performance.
ANALISIS FUNDAMENTAL DALAM MENENTUKAN KEPUTUSAN INVESTASI SAHAM PADA PERUSAHAAN SUB SEKTOR PERTAMBANGAN MINYAK & GAS YANG TERDAFTAR DI BURSA EFEK INDONESIA PERIODE 2016 – 2018 Biki, Mohamad Rizki; Dungga, Meriyana F; Machmud, Rizan
JURNAL MANAJEMEN & ORGANISASI REVIEW (MANOR) Vol. 3 No. 1 (2021): MANOR: Jurnal Manajemen dan Organisasi Review
Publisher : Universitas Fajar

Show Abstract | Download Original | Original Source | Check in Google Scholar | DOI: 10.47354/mjo.v3i1.285

Abstract

Penelitian ini digunakan untuk menentukan keputusan investasi saham pada perusahaan sub sektor pertambangan minyak & gas dengan menggunakan analisis fundamental dan menggunakan pendekatan deskriptif kuantitatif. Analisis ini bersifat lebih luas karena dapat mengetahui kondisi ekonomi dalam negeri seperti inflasi,nilai tukar, dan suku bunga. Dan juga dapat mengetahui kinerja keuangan perusahaan petambangan minyak & gas yang terdaftar di BEI selama periode 2016-2018 yang diukur dari rasio liquiditas, solvabilitas, aktivitas, dan profitabilitas. Dengan sampel yang meliputi PT Ratu Prabu Energi Tbk, PT Elnusa Tbk, PT Surya Esa Perkasa Tbk, PT Medco Energi Internasional Tbk, dan PT Radiant Utama Interinsco Tbk dengan menggunakan analisis kinerja keuangan, dengan variabel CR, DER, TATO, NPM. Hasil dari penelitian menunjukkan bahwa CR, DER, TATO, dan NPM pada perusahaan pertambangan minyak & gas yang terdaftar di Bursa Efek Indonesia periode 2016-2018 kurang baik. Terlihat dari 5 perusahaan hanya terdapat 3 perusahaan yang memiliki kinerja yang cukup baik yaitu PT Elnusa Tbk, PT Surya Esa Perkasa Tbk, dan PT Radiant Utama Interinsco Tbk. Sedangkan untuk Ratu Prabu Energi Tbk menunjukkan pertumbuhan yang tidak terlalu signifikan dan masih kurangnya pertumbuhan kinerja perusahaan, sedangkan PT Medco Energi Internasional Tbk menunjukkan nilai negatif pada NPM yang cenderung artinya mengalami kerugian dan menandakan kurang baiknya kinerja perusahaan. Kata Kunci : Analisis Fundamental, Keputusan Investasi
Diversification of Gorontalo Cake Products (Belekoa) In Order to Increase Income for The Group of Businesses Together in Gandaria Village, Tolangohula District, Gorontalo District Dungga, Meriyana Fransisca; Bokingo, Agus Hakri
Journal of The Community Development in Asia Vol 2, No 3 (2019): September 2019
Publisher : AIBPM Publisher

Show Abstract | Download Original | Original Source | Check in Google Scholar | DOI: 10.32535/jcda.v2i3.583

Abstract

Today's society is undergoing a very rapid and complex change, due to advances in science and technology. Overall change occurs in almost all aspects of life. The job market has changed dramatically, both due to the influence of information and global technology. Changes that are so fast have an impact on the demands of society. The impact of these changes requires changes in patterns and institutional management strategies that are more appropriate, so that they can provide an appropriate response to the challenges that exist. Likewise, what happens in the management of the Production Unit requires effort in order to develop it. Guidance on product development and its quality is needed. Product development (produck development), basically is an effort to always create new products, improve old products in order to meet market demands and customer tastes. The demands and desires of customers always develop in line with the development of science, technology and information, therefore developing products, including product diversification is a challenge that must be sought. Customers need products that are always new and specific. To realize this, continuous innovation is needed so that the production unit as a business will continue to live and develop.
Analysis of Investment Interest Behavior and Financial Literacy Level of The Poor in Gorontalo Province Dungga, Meriyana Fransisca; Hinelo, Raflin Fransisca
Journal of International Conference Proceedings Vol 8, No 1 (2025): 2025 ICPM Malaysia Proceeding
Publisher : AIBPM Publisher

Show Abstract | Download Original | Original Source | Check in Google Scholar | DOI: 10.32535/jicp.v8i1.3950

Abstract

This paper aims to explore the investment interest behavior and financial literacy level of the poor in Gorontalo Province. This research uses a qualitative approach with a literature study method combined with field interviews as a form of direct observation to strengthen the theoretical study. The results of the author's research show that the investment behavior and interest as well as the level of financial literacy of the poor in Gorontalo Province are still classified as low to moderate. People tend to choose traditional investments that are easy to understand and community-based, but are less able to optimally increase asset value. Low understanding of modern investment products and weak financial management causes people to be trapped in a subsistence economy. Therefore, poverty alleviation efforts need to be accompanied by an increase in financial literacy that is contextual, community-based, and supported by policies and strengthening of local microfinance institutions so that investment can become a tool for long-term economic empowerment
Edukasi Green Economy untuk Meningkatkan Gaya Hidup Ramah Lingkungan bagi Masyarakat Kota Gorontalo Hamim, Dewi; Dungga, Meriyana Fransisca
Mopolayio : Jurnal Pengabdian Ekonomi Vol. 4 No. 3 (2025): Mopolayio : Jurnal Pengabdian Ekonomi Volume 4 Number 3 (July 2025) has been of
Publisher : Fakultas Ekonomi Universitas Negeri Gorontalo

Show Abstract | Download Original | Original Source | Check in Google Scholar | DOI: 10.37479/mopolayio.v4i3.112

Abstract

Krisis lingkungan dan rendahnya literasi ekologis masyarakat urban menjadi tantangan dalam mewujudkan gaya hidup berkelanjutan. Pengabdian masyarakat ini bertujuan untuk meningkatkan pemahaman dan praktik gaya hidup ramah lingkungan melalui edukasi berbasis prinsip green economy di Kelurahan Dulalowo, Kota Gorontalo. Metode yang digunakan mencakup penyampaian materi interaktif, demonstrasi praktik ramah lingkungan, dan evaluasi pre-test dan post-test. Sebanyak 30 peserta dari berbagai latar belakang mengikuti kegiatan ini. Hasil evaluasi menunjukkan peningkatan signifikan skor pemahaman peserta, dari rata-rata 6,8 (pre-test) menjadi 8,9 (post-test), dengan hasil uji t (p < 0,001) dan Cohen’s d sebesar 0,98 yang mengindikasikan efek besar. Secara kualitatif, peserta menunjukkan antusiasme tinggi dan komitmen untuk menerapkan gaya hidup ramah lingkungan. Kegiatan ini membuktikan bahwa pendekatan edukatif partisipatif dan kontekstual dapat meningkatkan literasi lingkungan masyarakat urban secara efektif. Replikasi kegiatan dengan dukungan kelembagaan direkomendasikan untuk memperluas dampak keberlanjutan di wilayah lain.
Analisis Perbedaan Return Saham, Abnormal Return, Harga Saham, dan Volume Perdagangan Saham di Masa Pandemi Covid-19: Studi Kasus pada Perusahaan Sektor Industri Transportasi yang Terdaftar di Bursa Efek Indonesia Periode 2019-2022 Dela Puspita Mantulangi; Mohamad Agus Salim Monoarfa; Meriyana Franssisca Dungga
Economic Reviews Journal Vol. 3 No. 1 (2024): Economic Reviews Journal
Publisher : Masyarakat Ekonomi Syariah Bogor

Show Abstract | Download Original | Original Source | Check in Google Scholar | DOI: 10.56709/mrj.v3i1.163

Abstract

This study aimed to determine any significant difference between stock returns , abnormal returns , stock prices , and stock trading volumes before and after the COVID - 19 pandemic in transportation sector companies listed on the Indonesia Stock Exchange . This research used secondary data with descriptive analysis and quantitative analysis methods . Data analysis in this study used the Wilcoxon signed - rank test , and the data for this study were collected two years before ( 2019-2020 ) and two years after ( 2021-2022 ) the COVID - 19 pandemic in Indonesia . The results show no significant difference in stock returns and stock prices . However , there is a significant difference in abnormal returns and stock trading volumes before and after the COVID -
Pengaruh likuiditas dan Leverage Terhadap Nilai Perusahaan: Studi Kasus pada Perusahaan Sektor Industri Dasar dan Kimia yang Terdaftar di Bursa Efek Indonesia Periode 2018-2022 Yasmita Eyato; Srie Isnawaty Pakaya; Meriyana Franssisca Dungga
Economic Reviews Journal Vol. 3 No. 3 (2024): Economic Reviews Journal
Publisher : Masyarakat Ekonomi Syariah Bogor

Show Abstract | Download Original | Original Source | Check in Google Scholar | DOI: 10.56709/mrj.v3i3.369

Abstract

This study aims to find out how the Current Ratio and Debt To Equity Ratio affect Company Value. in companies in the Basic Industry and Chemical Sector listed on the Indonesia Stock Exchange for the 2018-2022 period. The research method used is qualitative and sampling techniques using Purpisive sampling with the number of samples obtained in this study as many as 40 companies from 73 companies in the basic and chemical industry sectors. The data collection technique in this study uses secondary data, namely financial report data that has been published by companies in the basic industry and chemical sectors on the Indonesia Stock Exchange (IDX). Based on the results of the test, it shows that partially the Current ratio (CR) has a positive effect on the Company's Value. Debt To Equity Ratio has a negative effect on the Company's Value. The results of the study also show that simultaneously the Current Ratio (CR) and Debt To Equity ratio (DER) have an effect on the Company's Value.
Mengukur Kinerja Perusahaan: Peran Firm Size sebagai Variabel Moderasi antara Current Ratio, Total Asset Turnover dan Firm Value Hamdana; Mohamad Agus Salim Monoarfa; Meriyana Franssisca Dungga
Al-Kharaj: Jurnal Ekonomi, Keuangan & Bisnis Syariah Vol. 6 No. 6 (2024): Al-Kharaj: Jurnal Ekonomi, Keuangan & Bisnis Syariah (in Press)
Publisher : Intitut Agama Islam Nasional Laa Roiba Bogor

Show Abstract | Download Original | Original Source | Check in Google Scholar | DOI: 10.47467/alkharaj.v6i6.2117

Abstract

This research aims to determine how the effect of Current Ratio (CR) and Total Asset Turover (TATO) on Firm Value, in this case the Share Price with Firm Size as a Moderating Variable (Case Study of Food and Beverage Sub-Sector Manufacturing Companies Listed on the Indonesia Stock Exchange for the Period 2018-2022). The samples, that are 20 food and beverage sub-sector manufacturing companies, are determined through purposive sampling,. The data collection technique in this study uses secondary data obtained from financial statement data published by the Food and Beverage sub-sector manufacturing companies on the Indonesia Stock Exchange (IDX). Then, the data are analyzed using Multiple Regression Analysis and Moderation Regression Analysis methods assisted by the SPSS 16 software.The results showed that partially, Current Ratio significantly affects the Share Price, while Total Asset Turnover does not affect the Share Price. Then, Current Ratio and Total Asset Turnover simultaneously significantly affect Share Price.However, Current Ratio does not affect the Share Price moderated by Firm Size and Total Asset Turnover does not affect the Share Price moderated by Firm Size.