Anggraeni, Dea
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Dampak Rasio Keuangan Terhadap Kesulitan Keuangan (Financial Distress) Bank Umum Syariah Anggraeni, Dea; Widagdo, Ridwan; Ulfah, Mariyah
Journal of Sharia Accounting and Tax Vol. 3 No. 1 (2025): Journal of Sharia Accounting and Tax
Publisher : UIN Siber Syekh Nurjati Cirebon

Show Abstract | Download Original | Original Source | Check in Google Scholar | DOI: 10.70095/jsat.v3i1.395

Abstract

Kestabilan sektor keuangan, terutama dalam industri perbankan sangat penting karena dapat mempengaruhi keberlanjutan dan stabilitas ekonomi di Indonesia. Stabilitas perbankan ditandai dengan kemampuannya menjalankan fungsi sebagai lembaga intermediasi dan tidak mengalami financial distress. Tujuan penelitian ini adalah untuk menganalisis pengaruh rasio keuangan terhadap financial distress berdampak pada perusahaan di sektor perbankan. Penelitian ini menggunakan pendekatan kuantitatif eksplanatif. Metode purposive sampling digunakan untuk mengumpulkan sampel, yang menghasilkan jumlah sampel sebanyak sembilan bank umum syariah. Hasil penelitian menunjukkan bahwa rasio profitabilitas dan aktivitas berpengaruh terhadap financial distress, sementara rasio likuiditas dan solvabilitas tidak berpengaruh terhadap financial distress. Manajemen bank disarankan untuk terus mengelola keuangan dengan baik agar tidak mengalami penurunan yang dapat menyebabkan ketidakmampuan menyelesaikan masalah keuangan di masa depan.
Variabel-variabel yang Mempengaruhi Inflasi di Indonesia Anggraeni, Dea; Dwiputri, Inayati Nuraini
Jurnal Ekonomi Pembangunan Vol 11 No 2 (2022): Volume 11 Nomor 2 Tahun 2022
Publisher : Fakultas Ekonomi dan Bisnis Universitas Lampung

Show Abstract | Download Original | Original Source | Check in Google Scholar | DOI: 10.23960/jep.v11i2.490

Abstract

Inflation is one of the economy's most important indicators and an economic challenge that is a concern for developing countries such as Indonesia. This study aims to analyze the influence of several variables that are suspected of having an influence on inflation in Indonesia. The independent variables include the money supply, BI rate, exchange rate, Gross Domestic Product, and imports. Data were obtained from the Bank Indonesia and Badan Pusat Statistik (BPS) from 2010 to 2020. This study uses the Error Correction Model (ECM) to determine the effect of the independent variables in the short and long term. The study concluded that the money supply had a positive but not significant effect in the short term, but in the long term had a significant effect on inflation. The BI and exchange rates have a significant and positive effect on long-term and short-term inflation. Gross Domestic Product does not have a significant positive effect on inflation in both the long and short term. Imports show a positive but not significant with inflation in the long and short term.