Claim Missing Document
Check
Articles

Found 7 Documents
Search

PENGARUH NET PROFIT MARGIN, CURRENT RATIO DAN DEBT TO EQUITY RATIO TERHADAP FINANCIAL DISTRESS PADA PT GARUDA INDONESIA TBK (GIAA) TAHUN 2013-2022 Faisal, Ahmad Ajrul; Yusran Daeng Matta
Journal of Research and Publication Innovation Vol 2 No 1 (2024): JANUARY
Publisher : Journal of Research and Publication Innovation

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

Abstract

This research aims to determine the effect of net profit margin, current ratio and debt to equity ratio on financial distress at PT Garuda Indonesia Tbk (GIAA) in 2013-2022. The research technique used is descriptive analysis and multiple linear regression using SPSS. The research results show that partially the net profit margin has a significant influence on financial distress with a probability value of 0.0010, <05. The current ratio partially has a significant influence on financial distress with a probability value of 0.003 <0.05 and the debt to equity ratio partially does not have a significant influence on financial distress with a probability value of 0.829 > 0.05. Meanwhile, simultaneously net profit margin, current ratio and debt to equity ratio influence financial distress with a probability value of 0.0010, <0,05
PENGARUH RETURN ON ASSET (ROA) DAN RETURN ON EQUITY (ROE) TERHADAP RETURN SAHAM PADA PT CATUR SENTOSA ADIPRANA TBK PERIODE TAHUN 2013-2022 Daraga, Iqbal; Yusran Daeng Matta
Journal of Research and Publication Innovation Vol 2 No 4 (2024): OCTOBER
Publisher : Journal of Research and Publication Innovation

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

Abstract

This research aims to find out the impact of Return on Asset (ROA) and Return On Equity (ROE) on the Return of Shares in PT. Chatur Sentosa Adiprana Tbk. Period 2013-2022 both a partial ceremony and simultaneously. The independent variables used in the study are Return on Asset (ROA) and Return On Equity (ROE) while the dependent variables that are used in this study are Stock Return. The research method used in this research is quantitative. The type of data used in this research is secondary data. Population in this study is the financial report of PT. Chatur Sentosa Adiprana Tbk. Period 2013-2022. The sample used in the research is the balance sheet report, loss and share price summary of PT Chatur Sentosa Adiprana Tbk. Data analysis techniques used are descriptive analysis tests, classical assumption tests, double linear regression tests, hypothesis tests and determination coefficient tests with SPSS 26 application. The initial results showed that partially Return On Asset has no significant influence on the return of shares where 1.045 < ttable 1.89458 with a significance value of 0.331 > 0.05. partially the return on equity has no major influence over return of stocks where -0.249 < t table 1.89 458 with the significance of 0.811 > 05. Simultaneously, Return on Asset and ReturnOn Equity have a significant impact on return of stock where the value of Fcalung 7.644 > Ftable 4.737 with a signification value of 0.01 < 0.05. To improve the return on assets and return on equity through a strategy to increase profits, improve operational efficiency, make strategic investments.  
PENGARUH KOMUNIKASI DAN PENGEMBANGAN KARIR TERHADAP PRESTASI KERJA KARYAWAN DI PT. ALFAMART WILAYAH PAMULANG, TANGERANG SELATAN Sindi Anita Debi; Yusran Daeng Matta
Journal of Research and Publication Innovation Vol 2 No 4 (2024): OCTOBER
Publisher : Journal of Research and Publication Innovation

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

Abstract

This study aims to determine the extent to which communication and career development influence employee performance at PT. Alfamart, Pamulang Region, South Tangerang, both partially, and simultaneously. The method used is quantitative, with data collection techniques including field research such as observation, and questionnaires, literature study, and data analysis. The population in this study consists of all employees at PT. Alfamart, Pamulang Region, South Tangerang, totaling 129 people. Using a saturated sampling technique, the sample size for this study is 129 respondents. The results of this study are: 1) There is an influence of communication on employee performance at PT. Alfamart, Pamulang Region, South Tangerang. This is evidenced by the partial t-test results showing that the t-value > t-table (19.919 > 1.978), and significance is less than 5% (0.000 < 0.050), reinforced by a Determination Coefficient value contributing 75.8%. 2) There is an influence of career development on employee performance at PT. Alfamart, Pamulang Region, South Tangerang. This is evidenced by the partial t-test results showing that the t-value > t-table (13.415 > 1.978), and significance is less than 5% (0.000 < 0.050), reinforced by a Determination Coefficient value contributing 58.6%. 3) There is an influence of communication and career development on employee performance at PT. Alfamart, Pamulang Region, South Tangerang. This is evidenced by the simultaneous F-test results showing that the F-value > F-table (206.273 > 2.68), with a significance level of (0.000 < 0.050), reinforced by a Determination Coefficient value contributing 76.6%. To improve employee performance, the company is advised to enhance internal communication by providing communication skills training, and assessing the physical conditions of the workplace. Additionally, the company should develop a clearer and more structured career plan and consider a mentorship program to guide less experienced employees.
Pengaruh Pertumbuhan Ekonomi Dan Kebijakan Moneter Terhadap Utang Luar Negeri Di Indonesia Periode 2013-2022 Indah Suci Romadhon; Yusran Daeng Matta
JURNAL ILMIAH EKONOMI DAN MANAJEMEN Vol. 2 No. 9 (2024): JURNAL ILMIAH EKONOMI DAN MANAJEMEN (JIEM)
Publisher : CV. KAMPUS AKADEMIK PUBLISING

Show Abstract | Download Original | Original Source | Check in Google Scholar | DOI: 10.61722/jiem.v2i9.2409

Abstract

This research aims to determine the influence of economic growth and monetary policy on foreign debt in Indonesia for the 2013-2022 period. The method used in this research is a causal associative method with a quantitative approach. Data analysis uses the classic assumption test, multiple linear regression analysis, correlation coefficient analysis, coefficient of determination analysis, hypothesis t test, and hypothesis f test. The research results show that the economic growth variable has no effect on foreign debt, while the monetary policy variable has an effect on foreign debt. Simultaneously, these two variables influence foreign debt
PENGARUH LIKUIDITAS DAN SOLVABILITAS TERHADAP PROFITABILITAS PADA PT DELTA DJAKARTA Tbk PERIODE 2014 - 2023 Yesha Pricillia Marsanda Okad; Yusran Daeng Matta
Jurnal Intelek Dan Cendikiawan Nusantara Vol. 2 No. 4 (2025): AGUSTUS - SEPTEMBER 2025
Publisher : PT. Intelek Cendikiawan Nusantara

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

Abstract

Penelitian ini bertujuan untuk mengkaji pengaruh Likuiditas (CR) dan Solvabilitas (DER) terhadap Profitabilitas (ROE) pada PT Delta Djakarta Tbk periode 2014 – 2023. Metode dalam penelitian ini bersifat deskriptif kuantitatif dengan memanfaatkan data sekunder yang diperoleh dari laporan keuangan perusahaan dalam periode tertentu. Teknik analisis yang digunakan meliputi: Uji Asumsi Klasik (Uji Normalitas, Uji Multikolinearitas, Uji Heteroskedastisitas, Uji Autokorelasi), Uji Koefisien Determinasi, Uji Regresi Linier Berganda, Uji Hipotesis (Uji t (Parsial) dan Uji F (Simultan)). Hasil penelitian ini menunjukkan bahwa Likuiditas secara parsial tidak berpengaruh signifikan terhadap Profitabilitas karena t hitung 1,548 < t tabel 2,3646 dan nilai sig 0,165 > 0,05. Solvabilitas secara parsial tidak berpengaruh signifikan terhadap Profitabilitas karena t hitung 1,594 < t tabel 2,3646 dan nilai sig 0,155 > 0,05. Secara simultan, Likuiditas (CR) dan Solvabilitas (DER) tidak berpengaruh signifikan terhadap Profitabilitas (ROE) pada PT Delta Djakarta Tbk periode 2014 – 2023 karena f hitung 1,276 < f tabel 4,74, dengan tingkat signifikansi 0,337 > 0,05. Hasil uji autokorelasi menggunakan metode Durbin-Watson (DW) menunjukkan nilai DW sebesar 2,317147 yang berada di antara batas atas (dU = 1,6283) dan (4 − dU = 2,3717), sehingga dapat disimpulkan bahwa model regresi yang digunakan bebas dari masalah autokorelasi
PENGARUH DEBT TO EQUITY RATIO (DER), CURRENT RATIO (CR), DAN RETURN ON EQUITY (ROE) TERHADAP HARGA SAHAM PADA PT MAYORA INDAH TBK PERIODE 2012 – 2024 Yayang Angelina Octora; Yusran Daeng Matta
JURNAL RUMPUN MANAJEMEN DAN EKONOMI Vol. 2 No. 5 (2025): September
Publisher : CV. KAMPUS AKADEMIK PUBLISHING

Show Abstract | Download Original | Original Source | Check in Google Scholar | DOI: 10.61722/jrme.v2i5.6414

Abstract

Penelitian ini bertujuan untuk mengetahui pengaruh Debt to Equity Ratio (DER), Current Ratio (CR), dan Return On Equity (ROE) terhadap Harga Saham pada PT Mayora Indah Tbk periode 2012 – 2024. Metode dalam penelitian ini bersifat deskriptif kuantitatif. Metode Analisa data yang digunakan meliputi: Uji Asumsi Klasik (Uji Normalitas, Uji Multikolinearitas, Uji Heteroskedastisitas, dan Uji Autokorelasi), Uji Koefisien Determinasi, Uji Regresi Linier Berganda, Uji Hipotesis (Uji t (Parsial) dan Uji F (Simultan)). Hasil penelitian ini menunjukkan bahwa Debt to Equity Ratio (DER) secara parsial berpengaruh negatif dan signifikan terhadap Harga Saham karena t hitung 4,887 > t tabel 2,6216 dan nilai sig 0,001 < 0,05. Current Ratio (CR) secara parsial tidak berpengaruh dan signifikan terhadap Harga Saham karena t hitung 0,301 < t tabel 2,6216 dan nilai sig 0,771 > 0,05. Return On Equity (ROE) secara parsial tidak berpengaruh dan signifikan terhadap Harga Saham karena t hitung 0,240 < t tabel 2,6216 dan nilai sig 0,815 > 0,05. Secara simultan Debt to Equity Ratio (DER), Current Ratio (CR), dan Return On Equity (ROE) berpengaruh dan signifikan terhadap Harga Saham pada PT Mayora Indah Tbk periode 2012 – 2024 karena F hitung 13,206 > F tabel 3,41, dengan tingkat signifikansi 0,001 < 0,05. Hasil Uji Autokolerasi menggunakan metode Runs Test menunjukkan nilai Asymp. Sig (2-tailed) 0,545 > 0,05, sehingga dapat disimpulkan model regresi yang digunakan bebas dari masalah Autokolerasi.
Menabung Cerdas untuk Masa Depan Anak: Workshop Praktis Membuat Tabungan Pendidikan Jamaluddin; Faisal; Yusran Daeng Matta
Jurnal Pengabdian Sosial Vol 5 No 1 (2025): Jurnal Pengabdian Sosial
Publisher : Universiitas Pamulang

Show Abstract | Download Original | Original Source | Check in Google Scholar | DOI: 10.32493/pbs.v5i1.47234

Abstract

Pengelolaan keuangan keluarga, khususnya perencanaan tabungan pendidikan, menjadi aspek krusial dalam menjamin masa depan pendidikan anak-anak. Kegiatan Pengabdian Kepada Masyarakat (PKM) ini berfokus pada peningkatan literasi keuangan orang tua di TK Islam Al-Kamal, Kedaung-Pamulang, dalam membangun fondasi tabungan pendidikan anak yang efektif. Program ini dilaksanakan melalui workshop daring selama lima hari berturut-turut yang mencakup edukasi perencanaan keuangan keluarga, pengenalan produk tabungan pendidikan, pengelolaan risiko, serta penggunaan aplikasi keuangan digital. Pelatihan dimulai dengan studi awal untuk memahami preferensi dan kebutuhan spesifik orangtua, yang diikuti oleh survei preferensi peserta sebagai dasar perancangan materi yang relevan. Setiap sesi pelatihan dirancang secara interaktif untuk melibatkan orang tua dalam proses pembelajaran, terutama dalam mengidentifikasi kebutuhan pendidikan anak, merencanakan anggaran, serta memanfaatkan teknologi keuangan modern. Evaluasi dilakukan di akhir kegiatan untuk mengukur pemahaman peserta dan kemampuan mereka dalam mengimplementasikan materi dalam kehidupan sehari-hari. Hasil pelatihan menunjukkan peningkatan kemampuan peserta dalam merencanakan dan mempraktikkan strategi tabungan pendidikan anak secara lebih terstruktur. Dengan pelaksanaan kegiatan ini, diharapkan literasi keuangan orang tua dapat meningkat, sehingga mereka dapat membangun tabungan pendidikan anak yang lebih bijak dan terencana