Path: Top Journal Jurnal_Keuangan_dan_Perbankan 2007

Analisis pengaruh kinerja keuangan terhadap risk-adjusted of return pada perusahaan industri

Jurnal Keuangan dan Perbankan, Volume 11, Nomor 1, Januari 2007
Journal from JIPTUNMERPP / 2010-06-21 23:36:34
Oleh : Muhammad Maladi ; Yanuar Bachtiar, Diploma 3 of Finance and Banking Merdeka University Malang (jurkeubank@yahoo.com)
Dibuat : 2007-01-01, dengan file

Keyword : Risk- adjusted rate of return, financial erformance

This study aimed to analyze (1) financial performance analysis and risk adjuste rate of return for manufacturing and services firms listed at Jakarta Stock Exchange prior and during the crisis; (2) the differences in financial performances prior and during the crisis for manufacturing and serfice firms; and (3) the effect of financial performances and rick adjusted rate of return for manufacturing and services prior and during the crisis. Methods of analysis used in this survey were t test to measure the differences between financial performances and adjusted rae of return prior and during the crisis; and the analysis to measue the effect of financialperformace and risk adjuste rate of return by multiple regression analysis. The reslt indicated that there were no differences in financial performance of manufacturing and services prior during the crisis. While the risk adjusted rate of return of manufacturing ad services indicated the differences between prior the and during the crisis. The variable of financial leverage contributed significantly prior the crisis whereas price book value, debt equity ratio and price earning ratio comntribue ignificantly during the crisis.

Deskripsi Alternatif :

This study aimed to analyze (1) financial performance analysis and risk adjuste rate of return for manufacturing and services firms listed at Jakarta Stock Exchange prior and during the crisis; (2) the differences in financial performances prior and during the crisis for manufacturing and serfice firms; and (3) the effect of financial performances and rick adjusted rate of return for manufacturing and services prior and during the crisis. Methods of analysis used in this survey were t test to measure the differences between financial performances and adjusted rae of return prior and during the crisis; and the analysis to measue the effect of financialperformace and risk adjuste rate of return by multiple regression analysis. The reslt indicated that there were no differences in financial performance of manufacturing and services prior during the crisis. While the risk adjusted rate of return of manufacturing ad services indicated the differences between prior the and during the crisis. The variable of financial leverage contributed significantly prior the crisis whereas price book value, debt equity ratio and price earning ratio comntribue ignificantly during the crisis.

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PropertiNilai Properti
ID PublisherJIPTUNMERPP
OrganisasiD
Nama KontakDra. Wiwik Supriyanti, SS
AlamatJl. Terusan Halimun 11 B
KotaMalang
DaerahJawa Timur
NegaraIndonesia
Telepon0341-563504
Fax0341-563504
E-mail Administratorperpus@unmer.ac.id
E-mail CKOwsupriyanti@yahoo.com

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  • Editor: Wiwik Supriyanti, Dra. SS.