PENGARUH CURRENT RATIO (CR), DEBT TO EQUITY RATIO(DER), RETURN ON ASSET(ROA) TERHADAP HARGA SAHAM PERUSAHAAN MANUFAKTUR SUB SEKTOR TRANSPORTASI DI BURSA EFEK INDONESIA TAHUN 2015-2018

Rahmat Prasetyo Mulyono, Elfreda Aplonia Lau dan Umi Kulsum

Abstract


 This study aims to determine and analyze the effect partially and simultaneously of the Current Ratio (CR) Debt to Equity Ratio (DER), Return On Asset (ROA) on the stock prices of Transportation Sub-Sector companies listed on the Indonesia Stock Exchange 2015-2018. .

The theoretical basis of this research is financial management which focuses on each ratio measured by Current Ratio (CR), Debt To Equity Ratio (DER), Return On Asset (ROA).

The analysis tool used is Multiple Linear Regression. The data used are financial statement data from 2015 to 2018 in the Transportation Sub-Sector companies listed on the Indonesia Stock Exchange.

The results show that the Current Ratio has a positive and insignificant effect on the stock prices of the Transportation Sub-Sector in 2015-2018. Debt Equity Ratio has a negative and insignificant effect on the Stock Price of the Transportation Sub-Sector in 2015-2018, Return On Assets has a significant positive effect on the Share Price of the Transportation Sub-Sector in 2015-2018. Current Ratio (CR), Debt To Equity Ratio (DER), Return On Asset (ROA) simultaneously affect stock prices.


Keywords


CR, DER,ROA, Stock Price

Full Text:

pdf

References


Brigham, Eugene F. Dan Joel F. Houston. 2014. Dasar-Dasar Manajemen Keuangan. Buku 1.Edisi 11.Jakarta : Salemba Empat.

Edy Sutrisno. 2010. Manajemen Sumber Daya Manusia. Edisi Pertama. Cetakan Pertama. Jakarta : Penerbit Kencana

Fahmi, Irham. 2015. Pengantar Manajemen Keuangan Teori Dan Soal Jawab. Edisi Keempat. Bandung : Alfabeta

Gibson, M. 2013. Manajemen Sumber Daya Manusia. Cetakan Ke Dua. Jakarta: Erlangga.

Hanafi, Mahduh Dan Abdul Halim. 2012. Analisis Laporan Keuangan. Yogyakarta: (UPP) STIM YKPN.

Husnan, Suad Dan Enny Pudjiastuti. 2012. Dasar-Dasar Manajemen Keuangan. Edisi Keenam. Cetakan Pertama. Yogyakarta: (UPP) STIM YKPN

Imam, Ghozali. 2016. Aplikasi Analisis Multivariate: Dengan Program Ibm Spss23. Edisi 8. Semarang: Badan Penerbit Universitas Diponegoro.

Jatmiko, Dadang Prasetyo. 2017. Pengantar Manajemen Keuangan. Yogyakarta: Dinda Kreatif.

Jogiyanto, Hartono. 2016. Teori Portofolio Dan Analisis Investasi, Edisi Kesepuluh. Yogyakarta: BPFE-Yogyakarta.

Kasmir. 2014. Analisis Laporan Keuangan, Edisi Pertama, Cetakan Ketujuh. Jakarta: PT. Rajagrafindo Persada.

Kurniasari, Rahmah. 2014. Manajemen Keuangan. Cetakan Ke Dua. Jakarta: Erlangga

. 2010. Pengantar Analisis Laporan Keuangan. Jakarta: Rajawali Press.

Samsul, M. 2015. Pasar Modal Dan Manajemen Portofolio. Jakarta: Erlangga

Sartono, Agus. 2010. Manajemen Keuangan: Teori Dan Aplikasi. Yogyakarta : BPFE

Sugiyono. 2011. Metode Penelitian Kuantitati, Kualitatif dan R & D. Bandung : Alfabeta

Suliyanto. 2011. Ekonometrika Terapan: Teori Dan Aplikasi Dengan Spss. Edisi 1. Yogyakarta: Andi

Winarno, Wing Wahyu. 2011.Analisis Ekonometrika dan Aplikasi. Yogyakarta : UPP STIM YKPN




DOI: https://doi.org/10.31293/ddk.v22i1.5578

Refbacks

  • There are currently no refbacks.


Copyright (c) 2021 DEDIKASI



Indexing: