Sri Puspa Dewi
Universitas Islam Sumatera Utara

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FAKTOR-FAKTOR YANG MEMPENGARUHI HARGA SAHAM PERUSAHAAN TELEKOMUNIKASI Sri Elviani; Ramadona Simbolon; Sri Puspa Dewi
JRAM (Jurnal Riset Akuntansi Multiparadigma) Vol 6, No 1 (2019): Juli
Publisher : Universitas Islam Islam Sumatera Utara

Show Abstract | Download Original | Original Source | Check in Google Scholar | Full PDF (553.048 KB) | DOI: 10.30743/akutansi.v6i1.1408

Abstract

The purpose of this study was to analyze the effect of Return on Assets (ROA), Return on Equity (ROE), Net Profit Margin (NPM), Debt to Asset Ratio (DAR), Debt to Equity Ratio (DER) and Earning per Share (EPS) towards the share price of telecommunications companies in Indonesia. The population of this study is a company engaged in telecommunications registered on the Indonesia Stock Exchange in 2012-2017. This study used a purposive sampling method which resulted in a total sample of 30 samples. The analysis technique of this study uses multiple linear regression to describe the relationship between one variable with other variables. The results of this study indicate that the ROE, and DER variables have a positive and significant effect on the share price of telecommunications companies, for the variables ROA, NPM, DAR and EPS do not have a positive and significant effect on the share price of telecommunications companies. On the other hand, the variables ROA, ROE, NPM, DAR, DER and EPS together have an influence on the share price of telecommunications companies. The adjusted R-Square value is 0.538, this means that 53.8% of the dependent variable stock price can be influenced by the variables ROA, ROE, NPM, DAR, DER and EPS.
Determinan koefisien respon laba: studi kasus industri kimia di Indonesia Sri Elviani; Zenni Riana; Sri Puspa Dewi; Ramadona Simbolon
Proceeding of National Conference on Accounting & Finance Volume 4, 2022
Publisher : Master Program in Accounting, Faculty of Economics, Universitas Islam Indonesia

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Abstract

Penelitian ini bertujuan untuk menganalisis faktor-faktor yang mempengaruhi koefisien respon laba.”Penelitian ini menggunakan data sekunder yang menerapkan model regresi linier berganda dengan periode sampel 2015-2018. Dengan menggunakan sampel 90 perusahaan industry kimia dasar yang terdaftar di Bursa Efek Indonesia.”Hasil penelitian “menunjukkan bahwa growth opportunity, capital structure, company size, profitability, audit quality dan systematic risk secara simultan berpengaruh terhadap ERC.”Secara parsial “capital structure berpengaruh negative terhadap earnings response coefficient dan profitability berpengaruh positif terhadap earnings response coefficient.” Sedangkan growth opportunity, company size, audit quality dan systematic risk secara parsial tidak berpengaruh terhadap ERC. Study mengenai earnings response coefficient akan terus menarik untuk diamati karena pasar akan selalu menunjukkan adanya reaksi yang berbeda terhadap berita baik atau buruk dari perusahaan yang berbeda.