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Performance of Share Mutual in Indonesia Stock Exchange - Ubaya Repository

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t Sig. Dependent Variable: DPR Sumber : Data diolah peneliti, 2014. Ini berarti varian variabel bebas cash ratio, debt to equity ratio, dan return on asset memengaruhi

Sumber : Data diolah peneliti, 2014. Ini berarti varian variabel bebas cash ratio, debt to equity ratio, dan return on asset memengaruhi variabel terikat dividend

The application of Multiple Linear Regression in this study is intended to be able to explain the magnitude of the effect of return on investment, earnings

Figure 1.. 2) H2: Current Ratio (CR) affects stock returns. 3) H3: Debt Equity Ratio (DER) affects stock returns. 4) H4: Total Assets Turnover (TATO) affects stock returns. 5)

This research is worthwhile to try because Sharia mutual funds, as a sharia investment instrument, continue to grow and investors in ensuring alternative types of Sharia

Objective of the study Based on this background, the purpose of this research is to analyze the impact of global economic slowdown particularly the United States GDP growth and China

Effect of Debt to Equity Ratio DER on Stock Prices The results of the data analysis of the probability value of the influence of the variable Debt to Equity Ratio DER on the stock

Although portfolio performance is not the main goal of SRI investors, based on this study, it can be concluded that the SRI portfolio on the IDX has a better performance level compared