Detail Inovasi Perguruan Tinggi


Tema: MANAJEMEN KEUANGAN
Judul: ANALISIS KEBANGKRUTAN DAN UKURAN PERUSAHAAN TERHADAP RETURN SAHAM
Perguruan Tinggi: Sekolah Tinggi Ilmu Ekonomi Kesatuan
Jenis/sdm: dosen/0421107502

Tahun: 2017

Investments are now much in demand by the
public. Various types of investments
are being offered, one of them is investment in shares. Investors expect to benefit from
the investment. But selecting which stocks worth to buy requires a careful consideration
concerning informations about the compan
y’s performance. To obtain such
informations, investors may access the financial statements of the company
concerned.
This study uses research explanation (explanation research) with quantitative
approach. This method of research is used to explain the cau
sal relationship between
the variables through hypothesis testing, i.e. test hypotheses based on theories that have
been formulated beforehand and then the data that has been obtained. This research
was conducted by way of explaining the symptoms caused by
an object of research. The
analysis is partial correlation analysis and multiple linear regression analysis, where
the independent variable (X
1
) is a bankruptcy analysis, the independent variable (X
2
) is
the size of the company and the dependent variable
(Y) is the stock return. The results
showed that the variables (X
1
) analysis of bankruptcy does not have a significant effect
on stock returns, variable (X
2
) the size of the company has a significant effect on stock
returns. Simultaneously, both independen
t variables (X
1
) analysis of the bankruptcy and
the independent variable the size of the companies (2) have an influence on stock
returns.