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ANALISIS PERBANDINGAN TINGKAT KESEHATAN BANK ANTARA PT. BANK MANDIRI (PERSERO), TBK DAN PT. BANK CENTRAL ASIA, TBK MENGGUNAKAN METODE RGEC PERIODE 2011-2013 Ayu Kartika
Jurnal Ilmiah Ekonomi Bisnis Vol 21, No 2 (2016)
Publisher : Universitas Gunadarma

Show Abstract | Download Original | Original Source | Check in Google Scholar | Full PDF (264.777 KB)

Abstract

Penelitian ini bertujuan untuk menganalisis bagaimana perbandingan tingkat kesehatan PT Bank Mandiri, Tbk dengan PT Bank Central Asia, Tbk jika diukur menggunakan pendekatan RGEC (Risk Profile, Good Corporate Governance, Earnings, Capital) pada tahun 2011-2013. Variabel dan pengukuran pada penelitian ini terdiri dari faktor Risk Profile, faktor Good Corporate Governance, faktor Earnings, faktor Capital. Hasil analisis menunjukkan bahwa tingkat kesehatan Bank Mandiri dan BCA pada tahun 2011 sampai dengan 2013 secara keseluruhan dapat dikatakan bank yang sehat. Faktor Risk Profile secara keseluruhan menggambarkan pengelolaan risiko yang telah dilaksanakan dengan baik. Faktor Good Corporate Governance Bank Mandiri dan BCA sudah memiliki dan menerapkan tata kelola perusahaan dengan sangat baik. Faktor Earnings atau Rentabilitas yang penilaiannya terdiri dari ROA dan NIM mengalami kenaikan. Penulis membuktikan bahwa PT. Mandiri dan PT, BCA memiliki faktor  Capital yang baik, yaitu diatas ketentuan Bank Indonesia. Kata Kunci: Tingkat Kesehatan Bank, Risk Profile, Good Corporate Governance, Earning, Capital
The Effect of Price Earning Ratio, Return O Equity, Debt to Equity Ratio, Firm Size, and Dividend Payout Ratio to the Stock Returns on Banks Listed in LQ45 Index 2015-2020 Ayu Kartika; Lies Handrijaningsih; Septi Mariani TR; Anisah Anisah
Ilomata International Journal of Tax and Accounting Vol. 3 No. 4 (2022): October 2022
Publisher : Yayasan Ilomata

Show Abstract | Download Original | Original Source | Check in Google Scholar | Full PDF (492.632 KB) | DOI: 10.52728/ijtc.v3i4.592

Abstract

The capital market in Indonesia is currently experiencing very rapid development from year to year, as evidenced by the increasing number of public companies every year. Banking is one of the sub-sectors included in the LQ45 index with its average share having the highest market capitalization among other sub-sectors. The development of the capital market in Indonesia, including the banking sub-sector is inseparable from the supporting factors are internal factors as seen from the company's financial ratios. This study aims to determine the influence of price earning ratio, return on equity, debt to equity ratio, firm size, and dividend payout ratio on stock returns in banks listed on the LQ45 index for the period 2015-2020. The data collection method used in this study is the documentation method. The data used is secondary data, the determination of the sample in this study was carried out by purposive sampling method. The data in this study was processed using SPSS Application. The analysis tools used are, Descriptive Statistical Analysis, Classic Assumption Test, Multiple Linear Regression, T Test, F Test, and Determination Coefficient. The results of this study show that the price earning ratio, return on equity, debt to equity ratio, firm size, and dividend payout ratio affect stock returns simultaneously. Partially, the price earning ratio, return on equity, and debt to equity ratio affect stock returns, meanwhile firm size and dividend payout ratio have no effect on stock returns
ANALISIS RASIONALITAS TERHADAP PERILAKU TABZIR DALAM PERSPEKTIF EKONOMI ISLAM Stanty Aufia Rachmat; Muhammad Naufal Majid; Muhammad Umar Kelibia; Ayu Kartika; Muhammad Syafri
Jurnal Review Pendidikan dan Pengajaran (JRPP) Vol. 6 No. 4 (2023): Volume 6 No 4 Tahun 2023
Publisher : LPPM Universitas Pahlawan Tuanku Tambusai

Show Abstract | Download Original | Original Source | Check in Google Scholar | DOI: 10.31004/jrpp.v6i4.20016

Abstract

Kegiatan ekonomi merupakan kegiatan yang dapat bernilai ibadah apabila dilakukan sesuai dengan kaidah syariat Islam. Salah satunya adalah dengan tidak mencampuradukkan antara yang halal dan yang haram, hal tersebut merupakan salah satu bentuk perilaku konsumsi dalam Islam. Tujuan penelitian ini adalah untuk menganalisis rasionalitas terhadap perilaku tabzir dalam persepektif ekonomi Islam. Metode pada penelitian ini menggunakan metode peneltian kualitatif dengan literature research, yakni dengan menjelaskan rasionalitas konsumen muslim terhadap perilaku tabzir menurut ekonomi Islam. Hasil penelitian menunjukkan bahwa rasionalitas muslim sejalan dengan perilaku konsumsi Islam dengan tetap mempertimbangkan perbuatan tabzir.
Literature Review: Identifying the Effect of Competitiveness on Sales in International Markets for Gayo Coffee Products Ayu Kartika
ProBisnis : Jurnal Manajemen Vol. 14 No. 5 (2023): October: Management Science
Publisher : Lembaga Riset, Publikasi dan Konsultasi JONHARIONO

Show Abstract | Download Original | Original Source | Check in Google Scholar | DOI: 10.62398/probis.v14i5.301

Abstract

Indonesia is the fourth largest coffee producer in the world after Brazil, Vietnam and Colombia. However, in the period 2018-2021 the value of Indonesian coffee exports decreased in line with the low volume of Indonesian coffee exports that year when compared to the previous period so that Indonesia's position fell from fourth to fifth as a coffee exporter in the world. Therefore, it is necessary to conduct research that aims to analyze the competitiveness of Indonesian coffee in the period 2011-2021 using the Revealed Comparative Advantage (RCA) analysis, Dynamic Revealed Comparative Advantage (DRCA), and Trade Specialization Index (ISP). The results showed that there was a decline in the competitiveness of Indonesian coffee in the international market, even though Indonesia is currently at the maturity stage. One of the efforts to respond to this problem is to strengthen the development of Indonesian coffee agribusiness which is integrated and collaborates with each other between its subsystems by paying special attention to coffee farmers.