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Pengaruh Ukuran Perusahaan, Kebijakan Dividen, dan Kinerja Keuangan terhadap Nilai Perusahaan pada Perusahaan Manufaktur yang Terdaftar di Bursa Efek Indonesia Tahun 2017-2021 Putri, Dita Ayuningtias Salvina; Warsitasari, Wahyu Dwi
El-Mal: Jurnal Kajian Ekonomi & Bisnis Islam Vol. 5 No. 3 (2024): El-Mal: Jurnal Kajian Ekonomi & Bisnis Islam
Publisher : Intitut Agama Islam Nasional Laa Roiba Bogor

Show Abstract | Download Original | Original Source | Check in Google Scholar | DOI: 10.47467/elmal.v5i3.758

Abstract

This study aims to determine the effect of company size, dividend policy and financial performance on the value of companies listed on the Indonesia Stock Exchange in 2017-2021. This study uses a quantitative approach to the type of research used, namely associative. For sampling using purposive sampling, so that after being selected obtained 16 companies with as many as 80 samples as objects of observation. The analysis technique used is panel data regression analysis with eviews 10 software tools. The results of this study indicate that simultaneously firm size, dividend policy and financial performance have a significant effect on firm value. While the results of the partial test show that company size, dividend policy and financial performance have a significant effect on firm value. Keywords: company size, dividend policy, financial performance, firm value.
Analisis Perbandingan Kinerja Keuangan Perusahaan Sebelum dan Sesudah Initial Public Offering (IPO) pada Perusahaan yang Listing di BEI Fitricia, Kevin; Warsitasari, Wahyu Dwi
El-Mal: Jurnal Kajian Ekonomi & Bisnis Islam Vol. 5 No. 4 (2024): El-Mal: Jurnal Kajian Ekonomi & Bisnis Islam
Publisher : Intitut Agama Islam Nasional Laa Roiba Bogor

Show Abstract | Download Original | Original Source | Check in Google Scholar | DOI: 10.47467/elmal.v5i4.867

Abstract

The purpose of this study was to compare the financial results of IDX companies before and after their IPO to determine if there is a correlation between the two. Purposive sampling was employed to choose a subset of the study population (n=42) from among the full (n=51) population. All information for this study comes directly from the IDX's official website, making it a secondary data source. A company's financial results before and after its initial public offering (IPO) serve as independent and dependent variables, respectively. While a documentation study is utilized to collect data. A comparison of the company's liquidity ratio, leverage ratio, profitability ratio, and activity ratio before and after its IPO was found to be statistically significant (P .05) or not (P >.05), respectively, using the Wilcoxon Signede-rank test method. Keywords: Initial Public Offering (IPO), Liquidity Ratio, Leverage Ratio, Profitability Ratio, and Activity Ratio, Financial Performance.
Pengaruh Rasio Keuangan Terhadap Pertumbuhan Laba Pada Perusahaan Manufaktur yang Terdaftar di Bursa Efek Indonesia Happy, Adita; Dwi Warsitasari, Wahyu
Al-Kharaj: Jurnal Ekonomi, Keuangan & Bisnis Syariah Vol. 6 No. 4 (2024): 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.v6i4.1034

Abstract

The purpose of this research is to collect data that demonstrates how various financial ratios affect the development of a company's bottom line. Multiple ratios are used in the analysis, such as the Current Ratio (CR), Debt to Equity Ratio (DER), Total Asset Turnover (TAT), and Net Profit Margin (NPM). This research covers the time period from 2017 to 2021 and is limited to manufacturing companies that are listed on the Indonesia Stock Exchange. Eight of these organizations make up the sample size for this study. The f-test and t-test are used to examine the hypotheses, and the multiple linear regression analysis model is used for data analysis in this study. This investigation suggests that neither the Current Ratio (CR), nor the Debt to Equity Ratio (DER), nor the Total Asset Turnover (TAT) significantly affects the development of profits. However, the Net Profit Margin (NPM) is found to be a highly important predictor of future profits. Current Ratio (CR), Debt to Equity Ratio (DER), Total Asset Turnover (TAT), and Net Profit Margin (NPM) were used as independent variables in this investigation.
Pengaruh Sekolah Pasar Modal terhadap Pengetahuan Investasi Saham Mahasiswa Manajemen Keuangan Syariah UIN Sayyid Ali Rahmatullah Tulungagung Nurfikasari, Fariha; Dwi Warsitasari, Wahyu
Al-Kharaj: Jurnal Ekonomi, Keuangan & Bisnis Syariah Vol. 6 No. 4 (2024): 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.v6i4.1079

Abstract

This study aims to see the difference before and after the implementation of the Capital Market School (SPM) on stock investment knowledge in Sharia Financial Management (MKS) study program students, Faculty of Economics and Islamic Business (FEBI) UIN Sayyid Ali Rahmatullah Tulungagung. The type of approach used in this research is a quantitative approach, while the type of research is quasi experimental (pseudo experimental research). The research design used is one group pre test-post test design, so that research data is obtained from SPM participants as respondents who are measured using a pre-test before the SPM is implemented, and a post-test after the SPM. The population used is MKS students who are SPM participants, with a total population of 129. While the sample used was 30 MKS students as SPM participants who met the criteria in sampling. The sampling technique is purposive sampling using predetermined sampling criteria. While the type of data source used is primary data, which is obtained from the pre-test and post-test of SPM participants. The variables used are SPM as the dependent variable, and stock investment knowledge as the independent variable. While the data collection technique used is the test method, all of which data is obtained from the results of measuring the investment knowledge of MKS students using measuring instruments in the form of pre-test and post-test. The results of hypothesis testing using paired sample t-test show that there is a significant difference in students' stock investment knowledge before and after the implementation of SPM.
Pengaruh Kinerja Bank Terhadap Kepercayaan Nasabah Bank Syariah Indonesia (BSI) Pasca Merger Nurul Laily Abdulloh Putri; Wahyu Dwi Warsitasari
WADIAH Vol. 6 No. 2 (2022): Wadiah : Jurnal Perbankan Syariah
Publisher : Program Studi Perbankan Syariah Fakultas Ekonomi dan Bisnis Islam IAIN Kediri

Show Abstract | Download Original | Original Source | Check in Google Scholar | DOI: 10.30762/wadiah.v6i2.140

Abstract

The merger of three state-owned Islamic banks namely BRI Syariah Bank, BNI Syariah and Mandiri Syariah into one entity under the name Bank Syariah Indonesia (BSI) in early February 2021 resulted in various changes both from the internal and external sides of the company. One of the parties who feel the impact of this merger is the customer from the three Sharia Banks, this study aims to determine the effect of the bank's performance which in this case is seen from the quality of service and customer satisfaction on the level of customer trust after the merger. This research uses quantitative methods and data collection is done through the distribution of questionnaires for primary data. The sampling technique used is purposive sampling, with respondents in this study totaling 100 customers with predetermined characteristics. Then the data obtained were analyzed using multiple linear regression analysis, the results showed that service quality and customer satisfaction had a significant effect on the level of customer confidence in Bank Syariah Indonesia (BSI) after the merger. Keywords: Bank Syariah Indonesia, Merger, Service Quality, Customer Satisfaction, Customer Trust    
Pengaruh Ukuran Perusahaan, Kebijakan Dividen, dan Kinerja Keuangan terhadap Nilai Perusahaan pada Perusahaan Manufaktur yang Terdaftar di Bursa Efek Indonesia Tahun 2017-2021 Putri, Dita Ayuningtias Salvina; Warsitasari, Wahyu Dwi
El-Mal: Jurnal Kajian Ekonomi & Bisnis Islam Vol. 5 No. 3 (2024): El-Mal: Jurnal Kajian Ekonomi & Bisnis Islam
Publisher : Intitut Agama Islam Nasional Laa Roiba Bogor

Show Abstract | Download Original | Original Source | Check in Google Scholar | DOI: 10.47467/elmal.v5i3.758

Abstract

This study aims to determine the effect of company size, dividend policy and financial performance on the value of companies listed on the Indonesia Stock Exchange in 2017-2021. This study uses a quantitative approach to the type of research used, namely associative. For sampling using purposive sampling, so that after being selected obtained 16 companies with as many as 80 samples as objects of observation. The analysis technique used is panel data regression analysis with eviews 10 software tools. The results of this study indicate that simultaneously firm size, dividend policy and financial performance have a significant effect on firm value. While the results of the partial test show that company size, dividend policy and financial performance have a significant effect on firm value. Keywords: company size, dividend policy, financial performance, firm value.
Analisis Perbandingan Kinerja Keuangan Perusahaan Sebelum dan Sesudah Initial Public Offering (IPO) pada Perusahaan yang Listing di BEI Fitricia, Kevin; Warsitasari, Wahyu Dwi
El-Mal: Jurnal Kajian Ekonomi & Bisnis Islam Vol. 5 No. 4 (2024): El-Mal: Jurnal Kajian Ekonomi & Bisnis Islam
Publisher : Intitut Agama Islam Nasional Laa Roiba Bogor

Show Abstract | Download Original | Original Source | Check in Google Scholar | DOI: 10.47467/elmal.v5i4.867

Abstract

The purpose of this study was to compare the financial results of IDX companies before and after their IPO to determine if there is a correlation between the two. Purposive sampling was employed to choose a subset of the study population (n=42) from among the full (n=51) population. All information for this study comes directly from the IDX's official website, making it a secondary data source. A company's financial results before and after its initial public offering (IPO) serve as independent and dependent variables, respectively. While a documentation study is utilized to collect data. A comparison of the company's liquidity ratio, leverage ratio, profitability ratio, and activity ratio before and after its IPO was found to be statistically significant (P .05) or not (P >.05), respectively, using the Wilcoxon Signede-rank test method. Keywords: Initial Public Offering (IPO), Liquidity Ratio, Leverage Ratio, Profitability Ratio, and Activity Ratio, Financial Performance.
Pengaruh Lokasi, Kualitas Produk, Dan Store Atmosphere Terhadap Minat Beli Konsumen Ruang Luang Coffee Trenggalek Yuliacipta, Annisa; Warsitasari, Wahyu Dwi
Journal of Economics and Policy Studies (JEPS) Vol. 4 No. 2 (2023): JEPS: Journal of Economic and Policy Studies
Publisher : UIN Sayyid Ali Rahmatullah

Show Abstract | Download Original | Original Source | Check in Google Scholar | DOI: 10.21274/jeps.v4i02.8963

Abstract

Abstract This research is motivated by several problems regarding the marketing strategy at coffee shops, including the number of existing coffee shops causing intense competition, product similarities, and similarity in store atmosphere presentation which raises high consumer buying interest in a coffee shop. Consumers who visit a coffee shop must think about the location, product quality and store atmosphere in the coffee shop they are going to go to. Of these three factors, it is a reference for consumers to visit a coffee shop. The purpose of this study is to determine the effect of location, product quality, and store atmosphere on consumer buying interest in Ruang Luang Coffee Trenggalek either simultaneously or partially. The method used in this study is a quantitative method and type of associative research. The population in this study was unknown consumers of Ruang Luang Coffee Trenggalek, therefore the researchers took 150 respondents who were considered sufficiently representative of the sample. Sampling using purposive sampling method with the criteria of respondents aged 17-56 years. The data analysis using multiple linear regression analysis. The results of this study are simultaneously location, product quality, and store atmosphere on consumer buying interest in Ruang Luang Coffee Trenggalek is a significant effect, while partially location, product quality and store atmosphere on consumer buying interest in Ruang Luang Coffee Trenggalek is a positive and significant effect