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PENGARUH RETURN ON EQUITY , LOAN TO DEPOSIT RATIO, BOOK VALUE DAN CURRENT CASH DEBT COVERAGE TERHADAP RETURN SAHAM SEKTOR PERBANKAN YANG GO PUBLIK DI BURSA EFEK INDONESIA
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Institusion
Universitas Katolik Darma Cendika
Author
Aghaniyu, Dina Hidayanti
Subject
HF5601 Accounting 
Datestamp
2020-04-20 05:02:16 
Abstract :
This study aims to determine the factors that affect stock returns go public banking companies in Stock Exchange of Indonesia. Before investing in stocks, we need to analyze what factors that can affect stock returns, in order to choose the right investment on stock. In this study, researchers tried to see the effect of return on equity, loan to deposit ratio, current cash debt coverage, and the book value of the stock return. Data used in the study is secondary data sourced from IDX. The population in this study is a banking company that has gone public since 2012 and did not experience the suspension and stock split during the year of observation in 2013 and 2014. In this study population and the number of samples used the same, ie 32 banking companies that went public on the Stock Exchange of Indonesia. In this study, the analysis method used is multiple linear regression model and test hypotheses for each variable and simultaneously test all independent variables on the dependent variable. From the test results indicate that only the book value has significant influence toward stock return, while the return on equity, loan to deposit ratio, and current cash debt coverage do not have a significant influence on stock returns go public banking companies in Stock Exchange of Indonesia. 
Institution Info

Universitas Katolik Darma Cendika