PERBANDINGAN RETURN SAHAM PT BANK CENTRAL ASIA Tbk SEBELUM DAN SESUDAH PENGUMUMAN AKUISISI SAHAM PT BANK ROYAL INDONESIA Tbk

LEONARDO, DANIEL (2021) PERBANDINGAN RETURN SAHAM PT BANK CENTRAL ASIA Tbk SEBELUM DAN SESUDAH PENGUMUMAN AKUISISI SAHAM PT BANK ROYAL INDONESIA Tbk. Skripsi thesis, Sekolah Tinggi Ilmu Ekonomi Indonesia Jakarta.

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Abstract

Penelitian ini bertujuan untuk mengetahui perbandingan abnormal return saham dan cumulative abnormal return saham PT Bank Central Asia Tbk sebelum dan sesudah pengumuman akuisisi saham PT Bank Royal Indonesia Tbk. Metoda penelitian yang digunakan adalah kuantitatif. Penelitian ini menggunakan data sekunder yaitu imbal hasil saham PT Bank Central Asia Tbk 2 minggu sebelum (23 Mei – 19 Juni 2019) dan 2 minggu sesudah (21 Juni – 10 Juli 2019) pengumuman akuisisi, dan 1 bulan sebelum (30 April – 19 Juni 2019) dan 1 bulan sesudah (21 Juni – 01 Agustus 2019) pengumuman akuisisi tersebut. Metoda pengujian ini menggunakan uji-t one sample untuk menguji signifikansi abnormal return dan cumulative abnormal return dan uji paired sample t-test untuk menguji perbedaan rata-rata abnormal return saham dan rata-rata cumulative abnormal return saham. Hasil penelitian ini menunjukkan bahwa variabel pengumuman akuisisi PT Bank Royal Indonesia Tbk oleh PT Bank Central Asia Tbk tidak berpengaruh terhadap abnormal return saham PT Bank Central Asia Tbk pada periode dua minggu/satu bulan sebelum, dua minggu/satu bulan sesudah pengumuman dan seluruh periode. Dan variabel pengumuman akuisisi PT Bank Royal Indonesia Tbk oleh PT Bank Central Asia Tbk mempengaruhi cumulative abnormal return saham PT Bank Central Asia Tbk pada periode dua minggu/satu bulan sebelum, dua minggu/satu bulan sesudah pengumuman dan seluruh periode. dan dengan menguji perbedaan rata-rata abnormal return saham pada periode sebelum dan sesudah pengumuman tidak ada perbedaan yang signifikan tetapi dalam rata-rata cumulative abnormal return saham pada periode sebelum dan sesudah pegumuman peneliti menemukan perbedaan yang signifikan dalam periode sebelum pengumuman menunjukkan kebocoran informasi pengumuman akuisisi sebelum hari pengumuman. This research aims to find out the comparison of abnormal shares return and cumulative abnormal shares return of PT Bank Central Asia Tbk before and after the announcement of the shares acquisition of PT Bank Royal Indonesia Tbk. The research method used is quantitative. This study uses secondary data, is the shares return of PT Bank Central Asia Tbk 2 weeks before (23 May – 19 June 2019) and 2 weeks after (21 June – 10 July 2019) acquisition announcement, and 1 month before (30 April – 19 June 2019) and 1 month after (21 June – 1 August 2019) the acquisition announcement. This test method uses t-test one sample to test the significance of abnormal shares return and cumulative abnormal shares return and paired sample t-test to test the difference average abnormal shares return and average cumulative abnormal shares return. The results of this study show that the variable announcement of the shares acquisition of PT Bank Royal Indonesia Tbk by PT Bank Central Asia Tbk had no effect on the abnormal shares return of PT Bank Central Asia Tbk in the period of two weeks/one month before, two weeks/one month after the announcement and the entire period. And the variable announcement of the shares acquisition of PT Bank Royal Indonesia Tbk by PT Bank Central Asia Tbk affects the cumulative abnormal shares return of PT Bank Central Asia Tbk in the period of two weeks /one month before, two weeks/one month after the announcement and the entire period. and by testing the difference in the average abnormal shares return in the period before and after the announcement there was no significant difference but in the average cumulative abnormal shares return in the period before and after the announcement researchers found significant differences in the period before the announcement indicating leakage of acquisition announcement information before the day of announcement.

Item Type: Thesis (Skripsi)
Contributors:
ContributionContributorsNIDNEmail
Thesis advisorSURIAWINATA, IMAN SOFIAN060511006imansuriawinata@stei.ac.id
Subjects: Manajemen > Manajemen Keuangan
Divisions: S1 Manajemen
Depositing User: DANIEL LEONARDO
Date Deposited: 15 Sep 2021 08:31
Last Modified: 15 Sep 2021 08:31
URI: http://repository.stei.ac.id/id/eprint/5104

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