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ANALISIS RASIO KEUANGAN DAN VARIABEL EKONOMI MAKRO DALAM MEMPREDIKSI FINANCIAL DISTRESS PERUSAHAAN PERTAMBANGAN DI BURSA EFEK INDONESIA PERIODE 2011 - 2015

SULAKSANA, TAUFIK (2016) ANALISIS RASIO KEUANGAN DAN VARIABEL EKONOMI MAKRO DALAM MEMPREDIKSI FINANCIAL DISTRESS PERUSAHAAN PERTAMBANGAN DI BURSA EFEK INDONESIA PERIODE 2011 - 2015. Masters thesis, STIE PERBANAS SURABAYA.

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Abstract

The objectives of this research are to know and to explain the effects of fundamental variables and macro economics variables on financial distress probabili ty . The variables used are Working Capital To Total Asset (WCTA), Sales To Total Assets (STA), Debt To Total Asset Ratio ( DTA ) , Net Income To Sales (NISA), Interest Rate Sensitivity, Exchange Rate Sensitivity and Oil P rice Sensitivity. The sample are 38 go public mining companies listed in Bursa Efek Indonesia (BEI) and did not have delisting during research period. The sampling technique used i s purposive sampling technique. The analysis model used is logistic regression. The research shows that Sales To T otal Asset (STA) and Net Income To Sales (NISA) have a negative effect and significant to predict financial distress condition and than Debt to Total Asset has a positive effect and significant to predict financial distress condition. The implication an i nvestor must to choice the companies have a good sales to total asset, net income to sales, and debt to total asset. Keywords : Financial Distress, Financial Ratios, Sensitivity Analysis, Logistic Analysis Regression

Item Type: Thesis (Masters)
Subjects: 600 - TECHNOLOGY > 657 - ACCOUNTING
Divisions: Magister of Management
Depositing User: Perpustakaan Universitas Hayam Wuruk Perbanas Surabaya
Date Deposited: 06 Jul 2017 05:02
Last Modified: 07 Sep 2017 02:47
URI: http://eprints.perbanas.ac.id/id/eprint/1650

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