Results 41 to 50 of about 80,709 (310)

PENGARUH MODAL KERJA TERHADAP RETURN ON ASSET (ROA) MELALUI PENJUALAN

open access: yesJurnal Investasi, 2018
Penelitian ini bertujuan untuk mengetahui seberapa besar pengaruh modal kerja terhadap penjualan, penjualan terhadap Return On Asset (ROA) pada PD. Sri Tanjung Indramayu. Metode yang digunakan pada penelitian ini adalah metode deskriptif asosiatif dengan pendekatan kuantitatif.
Zaenal Abidin, Daryono Setiadi
openaire   +2 more sources

Determinants of Return On Asset (ROA) at Sharia Commercial Banks 2016 – 2021

open access: yesAl Iqtishod: Jurnal Pemikiran dan Penelitian Ekonomi Islam, 2023
ROA is a ratio that serves to assess a company's ability to make a profit. The amount of ROA can be influenced by many things such as NPF, FDR, and CAR. This study aims to find the effect of NPF, FDR, and CAR on ROA at Islamic Commercial Banks (BUS) in 2016-2021. This research uses a two-stage analysis. The first stage will use multiple linear analysis
Muhammad Irwin Muslimin   +2 more
openaire   +2 more sources

Pengaruh Return On Asset (Roa), Return On Equity (Roe), Debt To Equity Ratio (Der) dan Earning Per Share (Eps) terhadap Harga Saham Perusahaan Sub Sektor Transportasi di Bursa Efek Indonesia Periode 2012-2016 [PDF]

open access: yes, 2018
Penelitian ini bertujuan untuk menguji pengaruh Return On Asset (ROA), Return On Equity (ROE), Debt To Equity Ratio (DER) Dan Earning Per Share (EPS) terhadap harga saham Perusahaan sub sektor transportasi di Bursa Efek Indonesia periode 2012-2016. Harga
Masditok, T. (Tokit), Rosalina, L. (Lia)
core  

Influence of Zn2+ and Oxygen Supply on Malic Acid Production and Growth of Aspergillus oryzae

open access: yesBiotechnology and Bioengineering, EarlyView.
ABSTRACT Malic acid is a valuable platform chemical traditionally derived from fossil‐based resources. Microbial cultivation with Aspergillus oryzae offers a sustainable alternative based on renewable feedstocks. In this study, a well‐established minimal medium for malic acid production, commonly used in previous research to ensure reproducibility, was
Lukas Hartmann   +3 more
wiley   +1 more source

Rasio Keuangan yang Paling Baik sebagai Prediktor Risiko Sistematik Suatu Studi Empiris pada Perusahaan Manufaktur yang Terdaftar di Bursa Efek Jakarta

open access: yesJurnal Akuntansi, 2014
This research is aimed to determine the best financial ratios in predicting systematic risk. There are 12 financial ratios [current ratio (CR), quick ratio (QR), debt ratio (DR), equity to total asset (ETA), equity to total liabilities (ETL), equity to ...
Meythi .
doaj   +1 more source

PENGUKURAN DIVIDEND PAYOUT RATIO MELALUI RETURN ON ASSETS DAN EARNING PER SHARE

open access: yesKhazanah Sosial, 2020
Tujuan penelitian ini adalah untuk mengetahui pengaruh Return On Asset (ROA) dan Earning Per Share (EPS) secara parsial dan simultan terhadap Dividend Payout Ratio (DPR) pada salah satu perusahaan yang terdaftar di Jakarta Islamic Index (JII), yaitu PT ...
Listia Andani
doaj   +1 more source

Komparasi Kinerja Keuangan Sebelum Dan Sesudah Merger Dan Akuisisi Pada Perusahaan Pengakuisisi Di BEI

open access: yesJurnal Akuntansi: Kajian Ilmiah Akuntansi, 2022
Penelitian ini bertujuan untuk menguji secara empiris mengenai perbedaan kinerja keuagan antara sebelum dan sesudah merger dan akuisisi yang menggunakan beberapa variable rasio keuangan diantaranya Current Ratio (CR), Debt to Asset Ratio (DAR), Total ...
Neneng Sri Suprihatin
doaj   +1 more source

PENGARUH CAPITAL ADEQUACY RATIO, NON PERFORMING LOAN, LOAN TO DEPOSIT RATIO TERHADAP RETURN ON ASSET (Studi Pada Perusahaan Perbankan Yang Terdaftar di Bursa Efek Indonesia Periode 2014 – 2016) [PDF]

open access: yes, 2018
ABSTRAK Penelitian ini bertujuan untuk mengetahui bagaimana Capital Adequacy Ratio (CAR), Non Performing Loan (NPL), Loan To Deposit Ratio (LDR) dan Return On Asset (ROA), serta mengetahui seberapa besar pengaruh Capital Adequacy Ratio (CAR), Non ...
Mohamad Anwar Prahasta Zulkarnaen, 144020352   +1 more
core  

Disentangling the Effects of Firm‐Level Climate Risk and Capital Market Signalling: Evidence From Stock Price Informativeness

open access: yesBusiness Strategy and the Environment, EarlyView.
ABSTRACT This study examines the impact of firm‐level climate risk on stock price informativeness (SPI) through the integrated lens of stakeholder–shareholder theory. Using a global unbalanced panel of 73,770 firm‐year observations across 38 countries (2000–2020), we find that higher carbon emissions significantly reduce SPI, reflecting increased ...
Rawinder Kaur   +4 more
wiley   +1 more source

DIVIDEND POLICY AND FINANCIAL PERFORMANCE OF QUOTED OIL AND GAS COMPANIES IN NIGERIA

open access: yesMalete Journal of Accounting and Finance, 2023
Dividends are payments made by a company to its shareholders to compensate them for the unforeseen risk they decided to undertake and for the time value of their investment in the organisation This study examined the impact of dividend policy (DP) on ...
Ajose Kehinde Gabriel
doaj  

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