PENGARUH KINERJA KEUANGAN TERHADAP RETURN SAHAM DAMPAKNYA TERHADAP FINANCIAL DESTRESS PADA PERUSAHAAN SEKTOR LOGAM TERDAFTAR DI BEI TAHUN 2014 - 2018
Abstract
ABSTRACT
This study aims to determine the effect of the independent variables on the dependent variable, namely financial performance (return on assets, earnings per share, net profit
margins, debt equity ratio) and stock returns the impact on financial distress (bankruptcy) on metal manufacturing companies listed in The Indonesia Stock Exchange in 2014-2018was good. The analysis method uses the path analysis method with stock return variable
as a mediating variable. The results showed that financial performance variables (ROA,EPS, NPM, DER) simultaneously had a positive and significant effect on stock returns based on the value of Fcalculate, where F arithmetic> F table (43,908> 2.58) and a significant value of sig 0 .00 <0.05. Financial performance variables (ROA, EPS, NPM,DER) simultaneously have a positive and significant effect on Financial Destress (Z-core)based on the calculated F. value, where F count> F table (15.761> 2.58). Stock Returnvariable partially has a positive and significant effect on the Financial Destress variablebased on the value of t arithmetic where t arithmetic> t table (2.505> 1.666), asignificance of 0.015 <0.05.
Keywords
Full Text:
PDFReferences
Achmad Kuncoro, Engkos Dan Riduwan. 2011. Cara Menggunakan Dan Memakai Jalur Path Analysis. Bandung: Alfabeta.
Anwar Sanusi. 2011. Metode Penelitian Bisnis. Jakarta: Salemba Empat.
Azis, M., Mintarti, S., Nadir, M. 2015. Manajemen Investasi Fundamental, Teknikal, Perilaku Investor Dan Return Saham. Yogyakarta: Grup Penerbitan Cv Budi Utama.
Cooper, Donald R dan Pamela, S. Metode Penelitian Bisnis. Jakarta: Salemba Empat, 2017.
Fahmi, Irham.2015. Pengantar Manajemen Keuangan Keuangan Teori Dan Soal Jawab. Bandung: Alfabeta.
Fahmi & Irham. Analisis Laporan Keuangan. Lampulo: ALFABETA.2011.
Ghozali, Imam, 2013. Aplikasi Analisis Multivariate Dengan Program SPSS.Yogyakarta: Badan Penerbit BPFE.
Ghozali, Imam. 2011. Aplikasi Analisis Multivariate Dengan Program SPSS. Semarang: Badan Penerbit Universitas Diponegoro.
Gunawan, Imam. 2016. Metode Penelitian Kualitatif, Teori Dan Praktik. Jakarta: Bumi Aksara.
Gunandi, Gd Gilang. 2015. Pengaruh ROA, DER, Dan EPS Terhadap Return Saham. Jurnal. Manajemen Unud. Vol. 4.
Jogiyanto. 2015. Teori Portofolio Dan Analisis Investasi Edisi Kesepuluh. Yogyakarta: BPFE.
Rudianto. 2013. Akuntansi Manajemen Informasi Untuk Pengambilan Keputusan Strategis. Jakarta: Erlangga.
Sugiyono. 2015. Metode Penelitian Kuantitatif, Kualitatif Dan R&D. Bandung: Alfabeta.CV.
Yulistina, Meita Sekar Sari Pengaruh Kinerja Keuangan Terhadap Kondisi FinancialDistress Sebagai Early Warning System pada PT. Centra Protenia Prima. Tbk. Tahun2017
DOI: http://dx.doi.org/10.36448/jak.v11i2.1520
This work is licensed under a Creative Commons Attribution-NonCommercial-NoDerivatives 4.0 International License.