The aim of this research is to determine and analyze the influence of ROA, DAR, CR, and company size on financial distress in the property and real estate sub-sector on the Indonesia Stock Exchange for the 2018-2022 period. Purposive sampling methods is used for sampling techniques. Multiple Linear Regression is used for data processing and analysis. So the results obtained are: return on assets has a positive and significant influence, debt to assets ratio has a negative and significant influence, current ratio has a positive and significant influence, company size does not have a negative and significant influence. ROA, DAR, CR, and company size simultaneously and significantly influence financial distress.
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