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PENGARUH KINERJA PERUSAHAAN TERHADAP RETURN SAHAM DENGAN NILAI TUKAR SEBAGAI VARIABEL MODERASI

JANNAH, LAILATUL (2016) PENGARUH KINERJA PERUSAHAAN TERHADAP RETURN SAHAM DENGAN NILAI TUKAR SEBAGAI VARIABEL MODERASI. Undergraduate thesis, STIE Perbanas Surabaya.

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ARTIKEL ILMIAH.pdf

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Abstract

The objective of this study is to examine the effect of company performance that uses return on asset, debt to equity ratio, and cash ratio on stock return either is partially. This study also uses exchange rate as moderating variable that measured by exchange rate sensitivity. The dependent variable in this study is represented by stock returns, while the independent variables consisting of return on asset, debt to equity ratio, and cash ratio. The samples of this study are listed companies in LQ-45, period 2008-2014. Sampling technique in this study using purposive sampling, so that from the 98 companies listed in Indonesia Stock Exchange during the period, only 7 companies as sample. Data was processed using the method of multiple regression analysis statistical test for the first until third hypothesis, and multiple regression analysis with interaction for the last hypothesis. The result of this study is partially only debt to equity ratio (α=5%) have affect on stock return. When exchange rate sensitivity is used as a moderating variable, found that exchange rate sensitivity can’t be moderating variable debt to equity ratio on stock return. Keywords : Company Performance, Exchange Rate Sensitivity, Debt to Equity Ratio, Stock Return

Item Type: Thesis (Undergraduate)
Subjects: 300 - SOCIAL SCIENCE > 334 - COOPERATIVES
600 - TECHNOLOGY > 658 - GENERAL MANAGEMENT > 658.15 - FINANCIAL MANAGEMENT
Divisions: Bachelor of Management
Depositing User: Perpustakaan Universitas Hayam Wuruk Perbanas Surabaya
Date Deposited: 08 Nov 2016 04:06
Last Modified: 08 Nov 2016 07:57
URI: http://eprints.perbanas.ac.id/id/eprint/391

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