Please use this identifier to cite or link to this item: https://repositori.uma.ac.id/handle/123456789/16416
Title: Pengaruh Likuiditas, Solvabilitas, dan Manajemen Aset terhadap Kinerja Keuangan pada Perusahaan Sektor Consumer Goods Sub Sektor Farmasi yang Terdaftar di Bursa Efek Indonesia Tahun 2015-2019
Other Titles: The Effect of Liquidity, Solvency, and Asset Management on Financial Performance in the Company Goods Consumer Sector Sub Sector Pharmaceutical Registered in Indonesian Stock Exhchang 2015-2019
Authors: Aprilya, Widya
Keywords: current ratio;debt to asset ratio;total asset turnover;return on asset
Issue Date: 14-Jun-2021
Publisher: Universitas Medan Area
Series/Report no.: NPM;178320163
Abstract: Penelitian ini bertujuan untuk untuk mengetahui pengaruh pengaruh Likuiditas, Solvabilitas Dan Manajemen Aset Terhadap Kinerja Keuangan Pada Perusahaan Sektor Consumer Goods Sub Sektor Farmasi Yang Terdaftar Di Bursa Efek Indonesia. Teknik penentuan sampel dalam penelitian ini adalah dengan menggunakan purposive sampling. Jumlah data sampel dalam penelitian ini adalah 50 data sampel. Metode penelitian ini menggunakan analisa regresi data panel yang digunakan untuk mengetahui pengaruh variabel bebas terhadap variabel terikatnya secara bersama-sama dan secara parsial menggunakan Eviews. Dari hasil uji t, Current Ratio perusahaan tidak berpengaruh signifikan terhadap Y Return on Asset Pada Perusahaan Sektor Consumer Goods Sub Sektor Farmasi Yang Terdaftar Di Bursa Efek Indonesia. Debt to Asset Ratio perusahaan tidak berpengaruh signifikan terhadap Y Return on Asset Pada Perusahaan Sektor Consumer Goods Sub Sektor Farmasi Yang Terdaftar Di Bursa Efek Indonesia. Total Asset Turnover perusahaan berpengaruh positif dan signifikan terhadap Y Return on Asset Pada Perusahaan Sektor Consumer Goods Sub Sektor Farmasi Yang Terdaftar Di Bursa Efek Indonesia. secara bersama-sama atau simultan variabel X1 Current Ratio, X2 Debt to Asset Ratio, X3 Total Asset Turnover berpengaruh positif dan signifikan terhadap Y Return on Asset. This study aims to determine the effect of the effect of liquidity, solvency and asset management on financial performance in the consumer goods sector, pharmaceutical sub-sector listed on the Indonesian stock exchange. The sampling technique used in this research is purposive sampling. The number of sample data in this study was 50 sample data. This research method uses panel data regression analysis which is used to determine the effect of independent variables on the dependent variable jointly and partially using Eviews. From the results of the t test, the company's current ratios do not have a significant effect on the Y Return on Assets in the Pharmaceutical Sub-Sector Consumer Goods Companies Listed on the Indonesian Stock Exchange. The company's Debt to Asset Ratio has no significant effect on Y Return on Assets in the Pharmaceutical Sub-Sector Consumer Goods Companies Listed on the Indonesia Stock Exchange. The company's Total Asset Turnover has a positive and significant effect on Y Return on Assets in the Pharmaceutical Sub-Sector Consumer Goods Companies Listed on the Indonesian Stock Exchange. simultaneously or simultaneously the variables X1 Current Ratio, X2 Debt to Asset Ratio, X3 Total Asset Turnover have a positive and significant effect on Y Return on Asset.
Description: 80 Halaman
URI: http://repository.uma.ac.id/handle/123456789/16416
Appears in Collections:SP - Management

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