Najib, M Thoha Ainun
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PENENTU PERKEMBANGAN PASAR SUKUK: MAKROEKONOMI DAN INSTITUTIONAL QUALITY Najib, M Thoha Ainun; Sa’adah, Silky Roudhotus; Putro, Rizki Listyono
Jurnal Manajemen, Akuntansi, Ekonomi Vol. 2 No. 1 (2023): Jurnal Manajemen, Akuntansi, Ekonomi
Publisher : CV. Era Digital Nusantara

Show Abstract | Download Original | Original Source | Check in Google Scholar | DOI: 10.59066/jmae.v2i1.238

Abstract

Tujuan penelitian ini adalah menganalisis pengaruh makroekonomi dan kualitas kelembagaan terhadap perkembangan pasar sukuk. Pendekatan penelitian ini adalah studi literatur. Terdapat 18 artikel yang relevan mulai tahun 2012-2022 dari Google Scholar dan Scopus. Hasil penelitian menunjukkan bahwa variabel makroekonomi dan kualitas kelembagaan berpengaruh terhadap perkembangan pasar sukuk di berbagai negara. Pendekatan yang dominan digunakan adalah kuantitatif (Panel Regression Fixed Effect Model). Negara yang dominan dijadikan objek penelitian yaitu Malaysia, Saudi Arabia dan Bahrain. Meski demikian, ketersediaan kajian empiris terkait kualitas kelembagaan terhadap perkembangan pasar sukuk masih sedikit.
Analisis Rasio Keuangan Pada Laporan Keuangan PT Mayora Indah Tbk Arundati, Alodia Apta; Sari, Anisa Rahma; Subhi, Muhammad Alwi; Najib, M Thoha Ainun
JURNAL AKUNTANSI DAN MANAJEMEN MUTIARA MADANI Vol 12 No 2 (2024): Jurnal Akuntansi dan Manajemen Mutiara Madani
Publisher : SEKOLAH TINGGI ILMU EKONOMI NGANJUK

Show Abstract | Download Original | Original Source | Check in Google Scholar | DOI: 10.59330/ojsmadani.v12i2.182

Abstract

The purpose of this study is to assess the capacity of Pt Mayora Indah Tbk in managing its company's finances from 2022 to 2023. One approach to financial statement analysis is the technique used to evaluate financial performance. The method used is quantitative descriptive, with secondary data sources. The method used in analyzing is quantitative descriptive. The ratios used in analyzing financial statements are liquidity ratio, solvency ratio, activity ratio and profitability ratio. The financial condition of PT. Mayora Indah Tbk for the 2022-2023 period is seen from its poor liquidity ratio. Due to the liquidity of PT. Mayora Indah Tbk is positioned far below industry standards. Based on the solvency ratio, it was found that the company's debt is still too high because it is positioned above industry standards. However, the Company is also able to provide its own capital because the capital obtained from creditors is positioned below industry standards. In addition, the interest that can be paid by the company can be declared good because it exceeds industry standards and the company in obtaining long-term debt. The company's activity ratio is in poor condition because the average value of working capital turnover, fixed asset turnover, and total asset turnover are considered to be below industry standards. The profitability ratio is still considered substandard because the net profit margin, return on investment, and return on equity are still below industry standards