SEPTIANA, ERVA AYU (2021) PENGARUH LIKUIDITAS, LEVERAGE DAN PROFITABILITAS TERHADAP HARGA SAHAM (Studi Empiris pada Perusahaan Infrastruktur Sub Sektor Kontruksi dan Bangunan yang Terdaftar di Bursa Efek Indonesia Periode 2016-2020). Skripsi thesis, Sekolah Tinggi Ilmu Ekonomi Indonesia Jakarta.
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Abstract
ABSTRAK Penelitian ini bertujuan untuk mengetahui pengaruh likuiditas, leverage dan profitabilitas terhadap harga saham. Penelitian ini menggunakan variabel likuiditas dengan Current Ratio (CR) serta variabel leverage dengan Debt to Assets Ratio (DAR) serta variabel profitabilitas dengan Return on Equity (ROE). Untuk harga saham (stock price) menggunakan close price pada tiap akhir tahun atau 31 Desember. Sampel penelitian ini dari perusahaan infrastruktur sub sektor konstruksi dan bangunan sebanyak 12 perusahaan dengan 5 tahun pengamatan dari 2016-2020. Metoda pada penelitian ini adalah kuantitatif dengan teknik pengambilan sampel nya menggunakan purposive sampling yang diolah dengan menggunakan program komputer yaitu EViews 9 (Econometric Views). Hasilnya, secara parsial CR menunjukkan nilai t hitung 2,053186 dengan probabilitas 0,0412. DAR menunjukkan nilai t hitung -3,059098 dengan probabilitas 0,0025. ROE menunjukkan nilai t hitung -3,240160 dengan probabilitas 0,0014. Dan secara simultan CR, DAR dan ROE menunjukkan nilai F hitung 101,7352 dengan probabilitas 0,000000. Kesimpulan bahwa secara parsial CR berpengaruh positif signifikan terhadap harga saham. Namun DAR dan ROE berpengaruh negatif signifikan terhadap harga saham. Dan secara simultan CR, DAR dan ROE berpengaruh terhadap harga saham. Kata Kunci: Current Ratio (CR), Debt to Assets Ratio (DAR), Return on Equity (ROE), Harga Saham ABSTRACT The purpose of this study was to determine the influence of liquidity, leverage and profitability to stock price. This research uses liquidity variable with Current Ratio (CR), leverage variable with Debt to Assets Ratio (DAR) and profitability variable with Return on Equity (ROE). For stock price using the close price at the end of each year or December 31. The sample of this research is from the construction and building sub-sector infrastructure companies as many as 12 companies with 5 years of observation from 2016-2020. The method in this research is quantitative with its sampling technique using purposive sampling which is processed using a computer program by EViews 9 (Econometric Views). The result, partially CR shows the value of t count 2,053186 with a probability of 0.0412. DAR shows the value of t count -3,059098 with a probability of 0,0025. ROE shows the value of t count -3,240160 with a probability of 0,0014. And simultaneously CR, DAR and ROE show the calculated F count 101,7352 with a probability of 0,000000. Conclusion that partially CR have a positive influence to Stock Prices. However, DAR and ROE has a negative influence to Stock Prices. And simultaneously CR, DAR and ROE influence to stock prices. Keywords: Current Ratio (CR), Debt to Assets Ratio (DAR), Return on Equity (ROE), Stock Price.
Item Type: | Thesis (Skripsi) | ||||||||
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Subjects: | Manajemen > Manajemen Keuangan | ||||||||
Divisions: | S1 Manajemen | ||||||||
Depositing User: | ERVA AYU SEPTIANA | ||||||||
Date Deposited: | 09 Nov 2021 08:47 | ||||||||
Last Modified: | 09 Nov 2021 08:47 | ||||||||
URI: | http://repository.stei.ac.id/id/eprint/5763 |
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