ANALISIS KOMPONEN RBBR TERHADAP HARGA SAHAM PERUSAHAAN PERBANKAN YANG TERDAFTAR DI BEI TAHUN 2013 – 2017
DOI:
https://doi.org/10.54367/jmb.v20i1.689Keywords:
Risk Based Bank Rating, Price Stock, BankingAbstract
This study aims to analyze the effects of Risk Based Bank Rating components on company stock prices. The Risk Based Bank Rating (RBBR) components consist by LDR, GCG, ROA and CAR. Secondary data was uses in this study with numbers of samples 196 consisting by 42 companies and 3 years financial report. Multiple linear regression was used to analyze the data. The result shows that LDR and GCG have negatively and significantly affected to stock prices. ROA has positively and significantly affected price stock. CAR has positively but insignificantly affected the price stock. Simultaneously, LDR, GCG, ROA and CAR have positively and significantly affected price stock. For further research using other variables related to analyzing the price stock are suggested to use.Warning: Invalid argument supplied for foreach() in /opt/lampp/htdocs/ojs/plugins/generic/usageStats/UsageStatsPlugin.inc.php on line 788
Downloads
References
Devi, Riana & Diyani, Lucia, 2016. Pengaruh Ratio Keuangan Dalam Memprediksi Perubahan Laba Pada Industri Farmasi (Studi Kasus Pada BEI Tahun 2011 – 2014). Jurnal Online Insani Akuntan. Juni 2016, Volume 1, No. 1 16 – 42
Hendrayana, Putu Wira & Yasa, Gerianta Wirawan, 2015. Pengaruh Komponen RGEC Pada Perubahan Harga Saham Perusahaan Perbankan Di Bursa Efek Indonesia. E-Jurnal Akuntansi Universitas Udayana, Februari. Volume 10, No. 2, 554 – 569
Indriani, Lilis&Dewi, Sutrisna. 2016. Pengaruh Variabel Tingkat Kesehatan Bank Terhadap Harga Saham Perbankan Di Bursa Efek Indonesia. E-Jurnal Manajemen, Mei. Volume 5, No. 5
Setiawan, Nugroho B. 2012. Analisis Pengaruh Nilai Tukar Rupiah, Inflasi, dan Suku Bunga SBI Terhadap Return Saham LQ45 Periode 2007-2011. Institut Manajemen Telkom Bandung.
Setyawan, Perdana & Mawardi, W, 2012. Pengaruh Komponen Risk Based Bank Rating Terhadap Harga Saham Perusahaan Perbankan Yang Go Public Di Bursa Efek Indonesia (Bei) Tahun 2008-2011. Undergraduate Thesis, Fakultas Ekonomika Dan Bisnis.
Samsul, Mohamad, 2015, Pasar Modal & Manajemen Portofolio, Edisi 2, Erlangga : Jakarta.
Sunariyah, 2011. Pengantar Pengetahuan Pasar Modal. Edisi 6, Yogyakarta: UPP STIM YKPN
Sugiyono, 2010. Metode Penelitian Pendidikan Pendekatan Kuantitatif, kualitatif, dan R&D. Bandung: Alfabeta