RAKHMAWATI, DIAN (2013) ANALISIS LAPORAN KEUANGAN UNTUK MENILAI KINERJA KEUANGAN PADA PERUSAHAAN PERBANKAN YANG TERDAFTARDI BURSA EFEK INDONESIA. Undergraduate thesis, STIE PERBANAS SURABAYA.
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Abstract
The population is banking companies listed in Indonesia Stock Exchange. For the sampling procedure using non-probability sampling method in the form of purposive sampling, the sampling technique with specific considerations. Considerations are taken is the bank that has the lowest assets from 2008 to 2011. Based on the above criteria, then the samples obtained by 10 banking companies. The analysis technique used is multiple linear regression. The results showed variable Capital Ratio (CAR), productive assets (NPL), Management (NIM), the profitability ratio (ROA) and liquidity ratio (LDR) effect on financial performance (ROA) and model fit. That the ratios are capital ratios (CAR), productive assets (NPL), and the ratio rentabilitas (BOPO) there are influence against financial performance (ROA) while management (NIM) and the liquidity ratio (LDR) there are no influence against financial performance (ROA) banking companies listed on the Indonesia Stock Exchange from 2008 - 2011. Keywords: Capital Ratio (CAR), productive assets (NPL), Management (NIM), ratio rentabilitas (BOPO), liquidity ratio (LDR) and financial performance (ROA)
Item Type: | Thesis (Undergraduate) |
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Subjects: | 600 - TECHNOLOGY > 650 - 659 MANAGEMENT & PUBLIC RELATIONS > 657 - ACCOUNTING > 657.042 - FINANCIAL ACCOUNTING |
Divisions: | Bachelor of Accountancy |
Depositing User: | Perpustakaan Universitas Hayam Wuruk Perbanas |
Date Deposited: | 04 Jul 2017 01:47 |
Last Modified: | 04 Jul 2017 01:47 |
URI: | http://eprints.perbanas.ac.id/id/eprint/1472 |
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