Detail Inovasi Perguruan Tinggi


Tema: Jurnal Riset Akuntansi dan Keuangan (JRAK) p-ISSN: 2338-1507 e-ISSN: 2541-061X Vol.4, No.3, Desember 2016
Judul: RASIO PROFITABILITAS, RASIO LEVERAGE, DAN RISIKO SISTIMATIS TERHADAP RETURN SAHAM PADA SEKTOR PERTAMBANGAN
Perguruan Tinggi: Universitas Widyatama
Jenis/sdm: dosen/0422117303

Tahun: 2016

The objective of this research is to investigate the effect of profitability ratio, leverage ratio and systematic risk to the stock return of mining sector companies that listed in Indonesia Stock Exchange respectively consecutive years 2011-2015.Profitability Ratio is confirmed by Return on Equity, Leverage Ratio is confirmed by Debt Equity Ratio, Beta is calculated through Single Index Model. The sampling method used in this research is purposive sampling criteria: The Company is listed on Indonesia Stock Exchange in the mining sector in the period 2011-2015. and the results are 14 companies according to the criteria of the sample. Pooling data method is used to collect the data and regression analysis as the analysis method. Leverage Ratio has a significant effect on stock return, and systematic risk does not have a significant effect on stock return.