Tsuroyyaa, Bilqiis (2018) Pengaruh Rasio Likuiditas, Rasio Kualitas Aktiva, Rasio Sensitivitas Pasar, Rasio Efisiensi Dan Good Corporate Governance (GCG) Terhadap Return On Assets (ROA) Pada Bank Buku 2. Undergraduate thesis, STIE Perbanas Surabaya.
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Abstract
The purpose of this research is to determine whetherthe LDR, IPR, LAR, NPL, IRR, BOPO, FBIR and GCG simultaneously and partial have a significant effect on ROA and which variable has the dominant effect on ROA. Population on this research is Banks of Books 2. This research used sensus method. Sample of this research are all Bank of books 2 with total twenty seven banks. This research uses secondary data taken from financial report of te year period 2013 until 2017 with the sample all Banks of Books 2. The data collected methods used documentation menthod and technique data analysis is descriptive and multiple regression analysis. The result of this research show that LDR, LAR, IPR, NPL, IRR, BOPO, FBIR and GCG are simultaneously has significant effect on ROA and partially BOPO and FBIR has significant effect on ROA. The dominant variable is BOPO with a contribution of 91,39 percent. Keywords : liquidity ratio, asset quality ratio, market sensitivity ratio, efficiency ratio and good corporate governance, return on assets
Item Type: | Thesis (Undergraduate) |
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Subjects: | 600 - TECHNOLOGY > 650 - 659 MANAGEMENT & PUBLIC RELATIONS > 658 - GENERAL MANAGEMENT > 658.15 - FINANCIAL MANAGEMENT |
Divisions: | Bachelor of Management |
Depositing User: | Magang Magang |
Date Deposited: | 08 Nov 2019 01:37 |
Last Modified: | 08 Nov 2019 01:37 |
URI: | http://eprints.perbanas.ac.id/id/eprint/5444 |
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