DETERMINAN RISIKO SAHAM PERBANKAN (Studi pada Bank Umum Konvensional yang Terdaftar di Bursa Efek Indonesia Periode 2006-2015)

RIZKA ANGGRAENI, 041211231071 (2016) DETERMINAN RISIKO SAHAM PERBANKAN (Studi pada Bank Umum Konvensional yang Terdaftar di Bursa Efek Indonesia Periode 2006-2015). Skripsi thesis, UNIVERSITAS AIRLANGGA.

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Official URL: http://lib.unair.ac.id

Abstract

Tujuan penelitian ini menguji determinan risiko saham perbankan yang terdaftar di Bursa Efek Indonesia. Penelitian ini menggunakan model analisis regresi linear berganda. Data diperoleh dari laporan keuangan bank yang di publikasikan periode 2006-2015. Variabel dependen yang digunakan adalah risiko saham bank yang diproksikan dengan standar deviasi return saham harian. Variabel independen dalam penelitian ini adalah book value equity to total asset (EQTA), non performing loan (NPL), liquid asset to total asset (LIQATA), dan standard deviation of ROA (SDROA). Hasil penelitian menunjukkan risiko saham perbankan memiliki pengaruh positif terhadap NPL, pengaruh negatif terhadap EQTA dan LIQATA, dan tidak berpengaruh terhadap SDROA.

Item Type: Thesis (Skripsi)
Additional Information: KKB KK-2 B.142/16 Ang d
Uncontrolled Keywords: Risiko saham perbankan, book value equity to total asset (EQTA), non performing loan (NPL), liquid asset to total asset (LIQATA), standard deviation of ROA (SDROA).
Subjects: H Social Sciences > HG Finance > HG1-9999 Finance > HG1501-3550 Banking > HG1723 Bank stocks. Banking as an investment
H Social Sciences > HG Finance > HG4501-6051 Investment, capital formation, speculation > HG4551-4598 Stock exchanges
Divisions: 04. Fakultas Ekonomi dan Bisnis > Manajemen
Creators:
CreatorsEmail
RIZKA ANGGRAENI, 041211231071UNSPECIFIED
Contributors:
ContributionNameEmail
ContributorRahmat Setiawan, Dr., SE., MMUNSPECIFIED
Depositing User: Guruh Haris Raputra
Date Deposited: 25 May 2016 02:32
Last Modified: 25 May 2016 02:32
URI: http://repository.unair.ac.id/id/eprint/30643
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