JOHN HENRY WIJAYA SE MM (original) (raw)

Papers by JOHN HENRY WIJAYA SE MM

Research paper thumbnail of Analisis Faktor-Faktor Yang Mempengaruhi Return On Assets Perusahaan

Costing, May 27, 2023

The purpose of this study was to analyze the factors that affect ROA and to find out how much inf... more The purpose of this study was to analyze the factors that affect ROA and to find out how much influence the independent variables: quick ratio, total assets turnover, fixed assets turnover, accounts receivable turnover, and debt ratio; had on return on assets. To achieve the research objectives, a sample of companies listed in the building construction sub-sector on the Indonesia Stock Exchange for the 2019-2021 period was used, with a total sample of 10 companies selected using a purposive sampling technique. This study uses panel data regression analysis to determine the effect of each independent variable on ROA. The results showed that the quick ratio, fixed assets turnover, accounts receivable turnover, and debt ratio did not have a positive effect on ROA. Meanwhile, total assets turnover has a positive effect on return on assets. The results of this study are expected to be information in determining the company's return on assets and it is expected that the company can consider the factors that affect the ROA, especially the total assets turnover factor.

Research paper thumbnail of Analisis Rasio Likuiditas Dan Rasio Leverage Terhadap Rasio Profitabilitas Perusahaan Pembiayaan Yang Terdaftar Di Bursa Efek Indonesia

Costing, Aug 22, 2023

Penelitian ini dilakukan dengan tujuan untuk mengetahui pengaruh dari rasio likuiditas dan rasio ... more Penelitian ini dilakukan dengan tujuan untuk mengetahui pengaruh dari rasio likuiditas dan rasio leverage terhadap rasio profitabilitas pada perusahaan pembiayaan yang terdaftar di Bursa Efek Indonesia. Populasi penelitian ini adalah perusahaan pembiayaan yang terdaftar di Bursa Efek Indonesia, yang kemudian ditentukan menggunakan teknik purposive sampling dengan beberapa kriteria, sehingga menghasilkan 12 perusahaan pembiayaan sebagai responden. Data yang diperoleh dianalisis menggunakan analisis regresi linear berganda dengan Eviews 12. Dari hasil pengujian hipotesis yang dilakukan, ditemukan jika rasio likuiditas berpengaruh negatif terhadap rasio profitabilitas secara parsial. Kemudian, rasio leverage terbukti tidak memiliki pengaruh signifikan terhadap rasio profitabilitas. Terakhir, uji hipotesis secara simultan yang dilakukan menunjukkan jika rasio likuiditas dan rasio leverage berpengaruh secara signifikan terhadap rasio profitabilitas.

Research paper thumbnail of Pelatihan Manajemen Risiko Pasar bagi Pengrajin Rajut di Sentra Rajoet Binong Kota Bandung

Jurnal Pengabdian Dharma Laksana, Jan 20, 2023

Research paper thumbnail of Pelatihan Manajemen Risiko Pasar bagi Pengrajin Rajut di Sentra Rajoet Binong Kota Bandung

Jurnal Pengabdian Dharma Laksana

Potensi kerugian disebut dengan risiko. Karena kata ketidakpastian atau uncertainty sering diguna... more Potensi kerugian disebut dengan risiko. Karena kata ketidakpastian atau uncertainty sering digunakan untuk memaknai risiko maka menjadi penting untuk menjelaskan bagaimana hubungan antara risiko dan ketidakpastian. Sebaliknya, kepastian merupakan suatu keyakinan atau kepastian mengenai situasi tertentu. Oleh karena itu, ketidakpastian adalah suatu reaksi psikologis terhadap ketiadaan pengetahuan tentang masa yang akan datang. Industri Rajutan Binong jati Bandung merupakan salah satu industri yang mengalami kemajuan di tengah maraknya Indutstri kecil lainnya yang bermunculan dan mampu bertahan ketika terjadi krisis ekonomi. Kampoeng Rajoet Binong Jati memiliki visi menjadikan daerah ini sebagai sentra rajut terdepan di ASEAN. Solusi dari permasalahan yang dihadapi oleh mitra adalah dengan melakukan pelatihan dan pembekalan pengetahuan lebih lanjut mengenai manajemen risiko khususnya manajemen risiko pasar. Kegiatan pengabdian masyarakat Universitas Widyatama terselenggara bekerjasama...

Research paper thumbnail of Professional Football Club Management Analysis in Indonesia Case Study on Bali United Fc

Jurnal Informatika Ekonomi Bisnis, Dec 30, 2023

Along with the development of professional football in Indonesia, professional football clubs inc... more Along with the development of professional football in Indonesia, professional football clubs increasingly need good and correct financial management. One important indicator in professional football club financial management is financial ratios. Bali United FC has a large and successful fan base in recent years. Bali United FC is one of the most famous professional football clubs in Indonesia. However, in its management there are several problems that need to be overcome so that the club can continue to grow and compete with other clubs. Apart from that, there are also problems with the development of the club's business and a lack of support from the government and sponsorship. The purpose of this research is to identify the types of financial ratios used in the financial management of professional football clubs in Indonesia. Describe the financial performance of Bali United FC based on the financial ratios used. Identify the factors that influence the management of financial ratios at Bali United FC. This research uses a case study approach with the object of research Bali United FC.

Research paper thumbnail of Effect of E-Filling System Application with Internet Understanding of Taxpayer Compliance as Moderation Variable in North Karawang North Tax Office

International Journal of Psychosocial Rehabilitation, Vol. 24, Issue 1, 2020

Research paper thumbnail of Pengaruh Profitabilitas, Leverage Dan Sales Growth Terhadap Harga Saham DI Subsektor Otomotif Perusahaan Dan Komponennya Yang Terdaftar DI Saham Indonesia Pertukaran (Bei) Periode 2015-2019

Jurnal Bisnis Manajemen dan Ekonomi, 2020

Penelitian ini ingin mencoba menganalisis faktor-faktor penentu harga saham pada sub sektor otomo... more Penelitian ini ingin mencoba menganalisis faktor-faktor penentu harga saham pada sub sektor otomotif dan komponennya dan melihat variabel mana yang memberikan pengaruh pada harga saham. Studi ini juga tertarik untuk melihat variabel-variabel yang tidak dipercaya oleh investor dalam mengambil keputusan investasi. Seluruh variable yang diusulkan dalam peneliti ini berdasarkan studi variable. Riset ini menggunakan data sekunder, seperti laporan keuangan, laporan tahunan, dan informasi terkait lainnya pada sub sektor otomotif dan komponennya yang tercatat di Bursa Efek Indonesia. Guna mencapai tujuan penelitian, metode analisis yang digunakan adalah analisis kuantitatif bersifat verifikatif. Data diuji menggunakan Eviews 9 dengan uji analisis regresi data panel, uji asumsi klasik, dan uji hipotesis. Sampel yang dipilih adalah 12 sampel perusahaan pada sub sektor otomotif dan komponennya yang tercatat di Bursa Efek Indonesia periode 2015-2019 dengan menggunakan metode purposive sampling. Hasil penelitian ini, bahwa variabel profit tidak berpengaruh terhadap harga saham, yang ditunjukkan oleh nilai probabilitas 0.4551. Variable leverage berpengaruh terhadap harga saham, yang ditunjukkan oleh nilai probabilitas 0,0411. Variabel sales growth tidak berpengaruh terhadap harga saham, yang ditunjukkan oleh nilai probabilitas 0,7834.

Research paper thumbnail of Cointegration of Global Indexes to the Composite Stock Price Index for the Period of 2017 to 2019

PalArch's Journal of Archaeology of Egypt / Egyptology, Dec 25, 2020

Research paper thumbnail of Analysis of the Impact of COVID-19 on the Performance of Tourism Sector Companies in Idx for the Period 2019-2020

Solid State Technology Volume: 63 Issue: 3, 2020

Research paper thumbnail of Development of Small and Medium Micro Business: A Geographical Outlook on West Java Province, Indonesia

Review of International Geographical Education Online, Jul 12, 2021

Research paper thumbnail of The Effect of Systematic Risk, Trade Volume, Size, and Market Value on Share Prices (A Study on Transportation Industry Sub-Sectors Listed on the Indonesia Stock Exchange for the 2015-2019 Period)

Psychology and Education Journal, Feb 20, 2021

Research paper thumbnail of Sustainability Analysis of the Impact of Advanced Economic Policies on Emerging Market Economic Policies

PalArch's Journal of Archaeology of Egypt / Egyptology, 2020

Research paper thumbnail of Comparison of performance of banking sector companies before and after the pandemic Covid19

Turkish Journal of Physiotherapy and Rehabilitation, 2021

This study aims to compare stock performance in the banking sector before and after the Covid-19 ... more This study aims to compare stock performance in the banking sector before and after the Covid-19 pandemic, starting from December 2019 when the virus was confirmed to have entered Indonesia, untilMarch2020when its spread began to peak. The sample of this research is all companies in the banking sector listed on the IDX. The results of the study show that there is a significant difference in the validated stock performance for the 2019-2021 period through the paired test. It was identified that the banking sector tends to experience a decline after the pandemic Covid-19, due to the factor of streamlining business operations carried out with national policies. In addition, the company's adjustment to the pandemic situation led to increased investor trust in invest so that stock performance alsoincreases.

Research paper thumbnail of Comparative Study of the Financial Performance on Pharmaceutical and Healthcare Companies Before and During the Covid-19 Pandemic

Jurnal Ad'ministrare

The Covid-19 pandemic has disrupted supply chains both locally and globally, financial market vol... more The Covid-19 pandemic has disrupted supply chains both locally and globally, financial market volatility has faltered, there have been fluctuations in demand and has had an impact on the pharmaceutical and healthcare sectors. The increasing public awareness of the importance of maintaining health has made the products produced by the pharmaceutical and health sectors become products that are sought after by the public. The purpose of this study was to determine the financial performance of pharmaceutical and health companies before and during the COVID-19 pandemic using profitability ratios and solvency ratios. The results showed that there was no difference in financial performance using the profitability ratio approach, namely net profit margin, return on assets and return on equity. Meanwhile, by using the solvency ratio approach with debt to equity ratio and debt to asset ratio proxies, there are differences before and during the Covid-19 pandemic. The suggestion for this resear...

Research paper thumbnail of Pengaruh Profitabilitas, Leverage Dan Sales Growth Terhadap Harga Saham DI Subsektor Otomotif Perusahaan Dan Komponennya Yang Terdaftar DI Saham Indonesia Pertukaran (Bei) Periode 2015-2019

Penelitian ini ingin mencoba menganalisis faktor-faktor penentu harga saham pada sub sektor otomo... more Penelitian ini ingin mencoba menganalisis faktor-faktor penentu harga saham pada sub sektor otomotif dan komponennya dan melihat variabel mana yang memberikan pengaruh pada harga saham. Studi ini juga tertarik untuk melihat variabel-variabel yang tidak dipercaya oleh investor dalam mengambil keputusan investasi. Seluruh variable yang diusulkan dalam peneliti ini berdasarkan studi variable. Riset ini menggunakan data sekunder, seperti laporan keuangan, laporan tahunan, dan informasi terkait lainnya pada sub sektor otomotif dan komponennya yang tercatat di Bursa Efek Indonesia. Guna mencapai tujuan penelitian, metode analisis yang digunakan adalah analisis kuantitatif bersifat verifikatif. Data diuji menggunakan Eviews 9 dengan uji analisis regresi data panel, uji asumsi klasik, dan uji hipotesis. Sampel yang dipilih adalah 12 sampel perusahaan pada sub sektor otomotif dan komponennya yang tercatat di Bursa Efek Indonesia periode 2015-2019 dengan menggunakan metode purposive sampling....

Research paper thumbnail of The Importance of Financial Literacy in Preventing Illegal Fintech in MSMEs in Indonesia

Review of International Geographical Education Online, Oct 2, 2021

Research paper thumbnail of Analysis of Cash Rolling In Food and Beverage Sectors Seen From Ability to Make Profit and Pay Obligations: A Geographical Comparison

Review of International Geographical Education Online, Jun 25, 2021

Research paper thumbnail of The impact of inflation, interest rate and exchange value on banking companies' performances during the 2017 – 2020 period

Technium Social Sciences Journal, 2021

This study is aimed at identifying the impact of banking companies' performances on inflation... more This study is aimed at identifying the impact of banking companies' performances on inflation, interest rate, and exchange value during the 2017 until 2020. In 2020, also when the world was hit by the COVID-19 pandemic, the balance of payments in Indonesia were in surplus which was influenced by the decline of the proceeding trade deficit along with the capital and financial trade surplus. This research was designed to run a hypothesis testing through statistical measure, testing the impact of the variable X on the variable Y. Descriptive method would be used to explain the variables which were analyzed, which was the performance development of company, observed through stock price. Meanwhile, the verificative method determined a theory, if it was indisputable, through hypothesis examination. The data analysis used the data panel regression, a mixture of data cross and data time series, by which the unit cross section was measured in different times. The variable results of infl...

Research paper thumbnail of Measurement Of Food And Beverage Company Profitability For 2014-2018 Using Working Capital, Debt To Equity Ratio And Current Ratio

This research was conducted to determine the impact of working capital, debt to equity ratio and ... more This research was conducted to determine the impact of working capital, debt to equity ratio and current ratio on the company's ability to generate profits. The companies selected are those that are members of the food and beverage sector, where the number of samples selected is 23 companies during 5 research periods. The method used is descriptive verification. The results showed that only der variable had an effect on ROA, while WC and Cr had no effect on ROA.

Research paper thumbnail of Peramalan Kinerja Perusahaan Perbankan Tahun 2017 Yang Terdaftar DI Bursa Efek Indonesia Dengan Metode Arch-Garch

BISMA: Jurnal Bisnis dan Manajemen, 2020

This study aims to determine how the forecasting of banking stock performance in 2017 is measured... more This study aims to determine how the forecasting of banking stock performance in 2017 is measured weekly using the ARCH-GARCH method. There were 43 registered banking companies listed on the Indonesia Stock Exchange, but only 39 companies used as the research sample based on data completeness. The ARCH-GARCH method was used in the forecasting process. Results showed that the value of the mean absolute per cent error was 8.52% or below 10%. Therefore, the ARCH-GARCH method was quite good at predicting the performance of the banking sector. With a high level of complexity, the ARCH-GARCH method could provide a more realistic description than other methods to help investors make decisions. The banking sector tends to experience a downturn. Thus, it would be better for investors to hold back the intention to invest in banking stocks unless they are the risk-takers. Keywords: ARCH-GARCH, banking sector, stock performance

Research paper thumbnail of Analisis Faktor-Faktor Yang Mempengaruhi Return On Assets Perusahaan

Costing, May 27, 2023

The purpose of this study was to analyze the factors that affect ROA and to find out how much inf... more The purpose of this study was to analyze the factors that affect ROA and to find out how much influence the independent variables: quick ratio, total assets turnover, fixed assets turnover, accounts receivable turnover, and debt ratio; had on return on assets. To achieve the research objectives, a sample of companies listed in the building construction sub-sector on the Indonesia Stock Exchange for the 2019-2021 period was used, with a total sample of 10 companies selected using a purposive sampling technique. This study uses panel data regression analysis to determine the effect of each independent variable on ROA. The results showed that the quick ratio, fixed assets turnover, accounts receivable turnover, and debt ratio did not have a positive effect on ROA. Meanwhile, total assets turnover has a positive effect on return on assets. The results of this study are expected to be information in determining the company's return on assets and it is expected that the company can consider the factors that affect the ROA, especially the total assets turnover factor.

Research paper thumbnail of Analisis Rasio Likuiditas Dan Rasio Leverage Terhadap Rasio Profitabilitas Perusahaan Pembiayaan Yang Terdaftar Di Bursa Efek Indonesia

Costing, Aug 22, 2023

Penelitian ini dilakukan dengan tujuan untuk mengetahui pengaruh dari rasio likuiditas dan rasio ... more Penelitian ini dilakukan dengan tujuan untuk mengetahui pengaruh dari rasio likuiditas dan rasio leverage terhadap rasio profitabilitas pada perusahaan pembiayaan yang terdaftar di Bursa Efek Indonesia. Populasi penelitian ini adalah perusahaan pembiayaan yang terdaftar di Bursa Efek Indonesia, yang kemudian ditentukan menggunakan teknik purposive sampling dengan beberapa kriteria, sehingga menghasilkan 12 perusahaan pembiayaan sebagai responden. Data yang diperoleh dianalisis menggunakan analisis regresi linear berganda dengan Eviews 12. Dari hasil pengujian hipotesis yang dilakukan, ditemukan jika rasio likuiditas berpengaruh negatif terhadap rasio profitabilitas secara parsial. Kemudian, rasio leverage terbukti tidak memiliki pengaruh signifikan terhadap rasio profitabilitas. Terakhir, uji hipotesis secara simultan yang dilakukan menunjukkan jika rasio likuiditas dan rasio leverage berpengaruh secara signifikan terhadap rasio profitabilitas.

Research paper thumbnail of Pelatihan Manajemen Risiko Pasar bagi Pengrajin Rajut di Sentra Rajoet Binong Kota Bandung

Jurnal Pengabdian Dharma Laksana, Jan 20, 2023

Research paper thumbnail of Pelatihan Manajemen Risiko Pasar bagi Pengrajin Rajut di Sentra Rajoet Binong Kota Bandung

Jurnal Pengabdian Dharma Laksana

Potensi kerugian disebut dengan risiko. Karena kata ketidakpastian atau uncertainty sering diguna... more Potensi kerugian disebut dengan risiko. Karena kata ketidakpastian atau uncertainty sering digunakan untuk memaknai risiko maka menjadi penting untuk menjelaskan bagaimana hubungan antara risiko dan ketidakpastian. Sebaliknya, kepastian merupakan suatu keyakinan atau kepastian mengenai situasi tertentu. Oleh karena itu, ketidakpastian adalah suatu reaksi psikologis terhadap ketiadaan pengetahuan tentang masa yang akan datang. Industri Rajutan Binong jati Bandung merupakan salah satu industri yang mengalami kemajuan di tengah maraknya Indutstri kecil lainnya yang bermunculan dan mampu bertahan ketika terjadi krisis ekonomi. Kampoeng Rajoet Binong Jati memiliki visi menjadikan daerah ini sebagai sentra rajut terdepan di ASEAN. Solusi dari permasalahan yang dihadapi oleh mitra adalah dengan melakukan pelatihan dan pembekalan pengetahuan lebih lanjut mengenai manajemen risiko khususnya manajemen risiko pasar. Kegiatan pengabdian masyarakat Universitas Widyatama terselenggara bekerjasama...

Research paper thumbnail of Professional Football Club Management Analysis in Indonesia Case Study on Bali United Fc

Jurnal Informatika Ekonomi Bisnis, Dec 30, 2023

Along with the development of professional football in Indonesia, professional football clubs inc... more Along with the development of professional football in Indonesia, professional football clubs increasingly need good and correct financial management. One important indicator in professional football club financial management is financial ratios. Bali United FC has a large and successful fan base in recent years. Bali United FC is one of the most famous professional football clubs in Indonesia. However, in its management there are several problems that need to be overcome so that the club can continue to grow and compete with other clubs. Apart from that, there are also problems with the development of the club's business and a lack of support from the government and sponsorship. The purpose of this research is to identify the types of financial ratios used in the financial management of professional football clubs in Indonesia. Describe the financial performance of Bali United FC based on the financial ratios used. Identify the factors that influence the management of financial ratios at Bali United FC. This research uses a case study approach with the object of research Bali United FC.

Research paper thumbnail of Effect of E-Filling System Application with Internet Understanding of Taxpayer Compliance as Moderation Variable in North Karawang North Tax Office

International Journal of Psychosocial Rehabilitation, Vol. 24, Issue 1, 2020

Research paper thumbnail of Pengaruh Profitabilitas, Leverage Dan Sales Growth Terhadap Harga Saham DI Subsektor Otomotif Perusahaan Dan Komponennya Yang Terdaftar DI Saham Indonesia Pertukaran (Bei) Periode 2015-2019

Jurnal Bisnis Manajemen dan Ekonomi, 2020

Penelitian ini ingin mencoba menganalisis faktor-faktor penentu harga saham pada sub sektor otomo... more Penelitian ini ingin mencoba menganalisis faktor-faktor penentu harga saham pada sub sektor otomotif dan komponennya dan melihat variabel mana yang memberikan pengaruh pada harga saham. Studi ini juga tertarik untuk melihat variabel-variabel yang tidak dipercaya oleh investor dalam mengambil keputusan investasi. Seluruh variable yang diusulkan dalam peneliti ini berdasarkan studi variable. Riset ini menggunakan data sekunder, seperti laporan keuangan, laporan tahunan, dan informasi terkait lainnya pada sub sektor otomotif dan komponennya yang tercatat di Bursa Efek Indonesia. Guna mencapai tujuan penelitian, metode analisis yang digunakan adalah analisis kuantitatif bersifat verifikatif. Data diuji menggunakan Eviews 9 dengan uji analisis regresi data panel, uji asumsi klasik, dan uji hipotesis. Sampel yang dipilih adalah 12 sampel perusahaan pada sub sektor otomotif dan komponennya yang tercatat di Bursa Efek Indonesia periode 2015-2019 dengan menggunakan metode purposive sampling. Hasil penelitian ini, bahwa variabel profit tidak berpengaruh terhadap harga saham, yang ditunjukkan oleh nilai probabilitas 0.4551. Variable leverage berpengaruh terhadap harga saham, yang ditunjukkan oleh nilai probabilitas 0,0411. Variabel sales growth tidak berpengaruh terhadap harga saham, yang ditunjukkan oleh nilai probabilitas 0,7834.

Research paper thumbnail of Cointegration of Global Indexes to the Composite Stock Price Index for the Period of 2017 to 2019

PalArch's Journal of Archaeology of Egypt / Egyptology, Dec 25, 2020

Research paper thumbnail of Analysis of the Impact of COVID-19 on the Performance of Tourism Sector Companies in Idx for the Period 2019-2020

Solid State Technology Volume: 63 Issue: 3, 2020

Research paper thumbnail of Development of Small and Medium Micro Business: A Geographical Outlook on West Java Province, Indonesia

Review of International Geographical Education Online, Jul 12, 2021

Research paper thumbnail of The Effect of Systematic Risk, Trade Volume, Size, and Market Value on Share Prices (A Study on Transportation Industry Sub-Sectors Listed on the Indonesia Stock Exchange for the 2015-2019 Period)

Psychology and Education Journal, Feb 20, 2021

Research paper thumbnail of Sustainability Analysis of the Impact of Advanced Economic Policies on Emerging Market Economic Policies

PalArch's Journal of Archaeology of Egypt / Egyptology, 2020

Research paper thumbnail of Comparison of performance of banking sector companies before and after the pandemic Covid19

Turkish Journal of Physiotherapy and Rehabilitation, 2021

This study aims to compare stock performance in the banking sector before and after the Covid-19 ... more This study aims to compare stock performance in the banking sector before and after the Covid-19 pandemic, starting from December 2019 when the virus was confirmed to have entered Indonesia, untilMarch2020when its spread began to peak. The sample of this research is all companies in the banking sector listed on the IDX. The results of the study show that there is a significant difference in the validated stock performance for the 2019-2021 period through the paired test. It was identified that the banking sector tends to experience a decline after the pandemic Covid-19, due to the factor of streamlining business operations carried out with national policies. In addition, the company's adjustment to the pandemic situation led to increased investor trust in invest so that stock performance alsoincreases.

Research paper thumbnail of Comparative Study of the Financial Performance on Pharmaceutical and Healthcare Companies Before and During the Covid-19 Pandemic

Jurnal Ad'ministrare

The Covid-19 pandemic has disrupted supply chains both locally and globally, financial market vol... more The Covid-19 pandemic has disrupted supply chains both locally and globally, financial market volatility has faltered, there have been fluctuations in demand and has had an impact on the pharmaceutical and healthcare sectors. The increasing public awareness of the importance of maintaining health has made the products produced by the pharmaceutical and health sectors become products that are sought after by the public. The purpose of this study was to determine the financial performance of pharmaceutical and health companies before and during the COVID-19 pandemic using profitability ratios and solvency ratios. The results showed that there was no difference in financial performance using the profitability ratio approach, namely net profit margin, return on assets and return on equity. Meanwhile, by using the solvency ratio approach with debt to equity ratio and debt to asset ratio proxies, there are differences before and during the Covid-19 pandemic. The suggestion for this resear...

Research paper thumbnail of Pengaruh Profitabilitas, Leverage Dan Sales Growth Terhadap Harga Saham DI Subsektor Otomotif Perusahaan Dan Komponennya Yang Terdaftar DI Saham Indonesia Pertukaran (Bei) Periode 2015-2019

Penelitian ini ingin mencoba menganalisis faktor-faktor penentu harga saham pada sub sektor otomo... more Penelitian ini ingin mencoba menganalisis faktor-faktor penentu harga saham pada sub sektor otomotif dan komponennya dan melihat variabel mana yang memberikan pengaruh pada harga saham. Studi ini juga tertarik untuk melihat variabel-variabel yang tidak dipercaya oleh investor dalam mengambil keputusan investasi. Seluruh variable yang diusulkan dalam peneliti ini berdasarkan studi variable. Riset ini menggunakan data sekunder, seperti laporan keuangan, laporan tahunan, dan informasi terkait lainnya pada sub sektor otomotif dan komponennya yang tercatat di Bursa Efek Indonesia. Guna mencapai tujuan penelitian, metode analisis yang digunakan adalah analisis kuantitatif bersifat verifikatif. Data diuji menggunakan Eviews 9 dengan uji analisis regresi data panel, uji asumsi klasik, dan uji hipotesis. Sampel yang dipilih adalah 12 sampel perusahaan pada sub sektor otomotif dan komponennya yang tercatat di Bursa Efek Indonesia periode 2015-2019 dengan menggunakan metode purposive sampling....

Research paper thumbnail of The Importance of Financial Literacy in Preventing Illegal Fintech in MSMEs in Indonesia

Review of International Geographical Education Online, Oct 2, 2021

Research paper thumbnail of Analysis of Cash Rolling In Food and Beverage Sectors Seen From Ability to Make Profit and Pay Obligations: A Geographical Comparison

Review of International Geographical Education Online, Jun 25, 2021

Research paper thumbnail of The impact of inflation, interest rate and exchange value on banking companies' performances during the 2017 – 2020 period

Technium Social Sciences Journal, 2021

This study is aimed at identifying the impact of banking companies' performances on inflation... more This study is aimed at identifying the impact of banking companies' performances on inflation, interest rate, and exchange value during the 2017 until 2020. In 2020, also when the world was hit by the COVID-19 pandemic, the balance of payments in Indonesia were in surplus which was influenced by the decline of the proceeding trade deficit along with the capital and financial trade surplus. This research was designed to run a hypothesis testing through statistical measure, testing the impact of the variable X on the variable Y. Descriptive method would be used to explain the variables which were analyzed, which was the performance development of company, observed through stock price. Meanwhile, the verificative method determined a theory, if it was indisputable, through hypothesis examination. The data analysis used the data panel regression, a mixture of data cross and data time series, by which the unit cross section was measured in different times. The variable results of infl...

Research paper thumbnail of Measurement Of Food And Beverage Company Profitability For 2014-2018 Using Working Capital, Debt To Equity Ratio And Current Ratio

This research was conducted to determine the impact of working capital, debt to equity ratio and ... more This research was conducted to determine the impact of working capital, debt to equity ratio and current ratio on the company's ability to generate profits. The companies selected are those that are members of the food and beverage sector, where the number of samples selected is 23 companies during 5 research periods. The method used is descriptive verification. The results showed that only der variable had an effect on ROA, while WC and Cr had no effect on ROA.

Research paper thumbnail of Peramalan Kinerja Perusahaan Perbankan Tahun 2017 Yang Terdaftar DI Bursa Efek Indonesia Dengan Metode Arch-Garch

BISMA: Jurnal Bisnis dan Manajemen, 2020

This study aims to determine how the forecasting of banking stock performance in 2017 is measured... more This study aims to determine how the forecasting of banking stock performance in 2017 is measured weekly using the ARCH-GARCH method. There were 43 registered banking companies listed on the Indonesia Stock Exchange, but only 39 companies used as the research sample based on data completeness. The ARCH-GARCH method was used in the forecasting process. Results showed that the value of the mean absolute per cent error was 8.52% or below 10%. Therefore, the ARCH-GARCH method was quite good at predicting the performance of the banking sector. With a high level of complexity, the ARCH-GARCH method could provide a more realistic description than other methods to help investors make decisions. The banking sector tends to experience a downturn. Thus, it would be better for investors to hold back the intention to invest in banking stocks unless they are the risk-takers. Keywords: ARCH-GARCH, banking sector, stock performance