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PENGARUH RETURN ON ASSETS DAN PRICE EARNING RATIO TERHADAP HARGA SAHAM PADA PT MATAHARI DEPARTEMENT STORE TBK TAHUN 2014 – 2023 Oksami, Aru; Intan Sari, Widya
Journal of Research and Publication Innovation Vol 2 No 4 (2024): OCTOBER
Publisher : Journal of Research and Publication Innovation

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Abstract

The aim of this research is to determine the effect of Return On Assets and Price Earning Ratio on share prices at PT Matahari Department Store Tbk. The method used in this research is a descriptive quantitative method. The sampling technique used was purposive sampling in the form of the financial reports of PT Matahari Department Store Tbk for ten years for the period 2014-2023. Data analysis uses the classic assumption test, multiple linear regression analysis, correlation coefficient, coefficient of determination and hypothesis testing using the SPSS 25 approach. The results of this research are that Return On Assets does not have a significant effect on Stock Prices. hypothesis test obtained t count < t table or (0.476 < 2.306). Price Earning Ratio has a significant effect on share prices. hypothesis test obtained t count > t table or (7.024 > 2.306). The determination value was 86.5% while the remaining 13.5% was influenced by other factors that were not researched. Return On Assets and Price Earning Ratio have a significant effect on Stock Prices with the regression equation Y = 0.273 + 0.050X1 + 4.505X2. Hypothesis testing obtained calculated F value > F table or (22.396 > 4.350). Thus, there is a significant influence of Return On Assets and Price Earning Ratio on share prices.  
Analisis Perbandingan Kinerja Keuangan Pada PT Unilever dan PT Indofood Sukses Makmur Shalma, Siti; Telaumbanua, Hendrika Frans; Lestari, Dina; Herani, Rosa Putri; Oksami, Aru
Jurnal Disrupsi Bisnis Vol. 7 No. 1 (2024): [Januari-Februari] Jurnal Disrupsi Bisnis
Publisher : Prodi Manajemen, Fakultas Ekonomi, Universitas Pamulang

Show Abstract | Download Original | Original Source | Check in Google Scholar | DOI: 10.32493/drb.v7i1.35393

Abstract

Penelitian ini bertujuan untuk memberikan analisa perbandingan antara dua jurnal yang membahas tentang rasio keuangan pada dua perusahaan yaitu PT Unilever dan PT Indofood Makmur Sukses Makmur yang menitik beratkan pada periode 2015 – 2022. Teknik analisis data yang dipergunakan dalam penelitian ini adalah analisis rasio keuangan dan uji beda dua rata-rata (independent sample t-test). Hasil dari analisis rasio diperoleh bahwa kinerja keuangan PT. Unilever yang baik berdasarkan standar industri dari segi rasio; Current Ratio, Quick Ratio, Cash Ratio, Long Term Debt to Equity, dan Earning Per Share, sedangkan untuk kinerja keuangan PT. Indofood Sukses Makmur Tbk sesuai standar industri dari segi rasio; Cash Ratio, Long Term Debt to Equity, Earning Per Share, dan Dividend Payout Ratio. Adapun hasil Uji Beda Dua Rata-rata (Indepent Sample t-test) diperoleh bahwa pada Cash Ratio, Inventory Turnover, Fixed Assets Turnover, Net Profit Margin, Earning Per Share, dan Price Earning Ratio tidak terdapat perbedaan secara signifikan antara kinerja keuangan PT. Unilever dengan PT. Indofood Sukses Makmur Tbk. Current Ratio, Quick Ratio, Debt to Assets Ratio, Debt to Equity Ratio, Long Term Debt to Equity, Receivable Turnover, Return on Investment, Return on Equity, dan Dividend Payout Ratio terdapat perbedaan secara signifikan antara PT. Unilever dengan PT. Indofood Sukses Makmur Tbk.