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and Stock Return

The Possibility of Manipulated IPO Underpricing and Post-IPO Stock Return: Empirical Study on Jakarta Stock Exchange 2009-2012

The Possibility of Manipulated IPO Underpricing and Post-IPO Stock Return: Empirical Study on Jakarta Stock Exchange 2009-2012

... price, and stock return determined by the market post-IPO ...managing and supporting the post-IPO trading for certain trading period with the objective to continue imitating and ...

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Profitability, solvency and stock return property industry in Indonesia

Profitability, solvency and stock return property industry in Indonesia

... analyze and determine whether there is a direct effect of Return On Asset (X1) and the Debt to Equity Ratio (X2) the Stock Return (Y) (study on property sector listed in the Indonesian ...

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Price Earnings Ratio and Stock Return Analysis (Evidence from Liquidity 45 Stocks Listed in Indonesia Stock Exchange)

Price Earnings Ratio and Stock Return Analysis (Evidence from Liquidity 45 Stocks Listed in Indonesia Stock Exchange)

... investors. Stock with low PE ratio is perceived as having cheaper current price hence expected to generate higher return in subsequent ...Indonesia Stock Exchange with observation period 2005-2010 as ...

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Pengaruh Earnings Management Terhadap Stock Return Dengan Earnings Quality Sebagai Variabel Intervening

Pengaruh Earnings Management Terhadap Stock Return Dengan Earnings Quality Sebagai Variabel Intervening

... terhadap return saham yang akan ...antara return saham dengan operating cash flow, non-discretionary accruals, serta discretionary accruals yang merupakan salah satu bentuk manajemen ...terhadap ...

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Pengaruh Intellectual Capital Terhadap Stock Return dengan Mediasi Return On Assets

Pengaruh Intellectual Capital Terhadap Stock Return dengan Mediasi Return On Assets

... to stock return is still ...to stock return with financial performance as mediation vari ...abnormal return for stock return measurement, and ROA to measure ...

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ANALYSIS OF THE INFLUANCE OF DEBT EQUITY RATIO AND RETURN ON EQUITY TOWARDS STOCK RETURN AND VALUE OF THE COMPANY AS A  Analisis Pengaruh Debt Equity Ratio Dan Return On Equity Terhadap Return Saham Dengan Nilai Perusahaan Sebagai Variabel Moderating.

ANALYSIS OF THE INFLUANCE OF DEBT EQUITY RATIO AND RETURN ON EQUITY TOWARDS STOCK RETURN AND VALUE OF THE COMPANY AS A Analisis Pengaruh Debt Equity Ratio Dan Return On Equity Terhadap Return Saham Dengan Nilai Perusahaan Sebagai Variabel Moderating.

... In the context of this study will use one of the variables contained in the contingency theory is moderating variables. Moderating variables used in this study are PER to see its effect on the relationship between DER ...

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INFLUENCE OF INVESTORS’ ATTENTION ON STOCK RETURN, LIQUIDITY, AND RETURN VOLATILITY COMPARISON BETWEEN MANUFACTURE COMPANIES IN INDONESIA AND INDIA.

INFLUENCE OF INVESTORS’ ATTENTION ON STOCK RETURN, LIQUIDITY, AND RETURN VOLATILITY COMPARISON BETWEEN MANUFACTURE COMPANIES IN INDONESIA AND INDIA.

... volume and its changes are described the available set of relevant information perceived by the ...the stock return ...high stock return ...the stock return volatility. ...

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PENGARUH CORPORATE SOCIAL RESPONSIBILITY TERHADAP STOCK RETURN (The Influence Corporate Social Responsibility to Stock Return)

PENGARUH CORPORATE SOCIAL RESPONSIBILITY TERHADAP STOCK RETURN (The Influence Corporate Social Responsibility to Stock Return)

... tahunan perusahaan berpengaruh terhadap volume perdagangan saham. Brammer et al (2005) menginvestigasi hubungan antara corporate social performance dan financial performance yang diukur dengan stock return ...

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STOCK RETURN VOLATILITY AND COINTEGRATION OF U.S. AND ASIAN MARKETS IN ACCORDANCE WITH THE FINANCIAL CRISIS  STOCK RETURN VOLATILITY AND COINTEGRATION OF U.S. AND ASIAN MARKETS IN ACCORDANCE WITH THE FINANCIAL CRISIS (1997-2014).

STOCK RETURN VOLATILITY AND COINTEGRATION OF U.S. AND ASIAN MARKETS IN ACCORDANCE WITH THE FINANCIAL CRISIS STOCK RETURN VOLATILITY AND COINTEGRATION OF U.S. AND ASIAN MARKETS IN ACCORDANCE WITH THE FINANCIAL CRISIS (1997-2014).

... the stock return is one of the important aspect for investor in making their decision to invest their ...of stock could be examined by using three variables, consist of volatility, risk premium, ...

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ANALYSIS OF FINANCIAL RATIOS AND MACROECONOMIC FACTORS TO STOCK RETURN AND SWOT STRATEGY (CASE STUDY: FINANCE SECTOR COMPANIES LISTED IN INDONESIA STOCK EXCHANGE YEAR 2010-2014)

ANALYSIS OF FINANCIAL RATIOS AND MACROECONOMIC FACTORS TO STOCK RETURN AND SWOT STRATEGY (CASE STUDY: FINANCE SECTOR COMPANIES LISTED IN INDONESIA STOCK EXCHANGE YEAR 2010-2014)

... financial and economic conditions in the country are factors that may affect the interests of investors to ...Rate, and Exchange Rate as factors that potentially affect stock ...Rate, and ...

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CAUSAL AND DYNAMIC RELATIONSHIP AMONG STOCK RETURN, TRADING VOLUME, AND RETURN VOLATILITY IN SOUTH-EAST ASIA MARKET PERIODS OF 2011-2014.

CAUSAL AND DYNAMIC RELATIONSHIP AMONG STOCK RETURN, TRADING VOLUME, AND RETURN VOLATILITY IN SOUTH-EAST ASIA MARKET PERIODS OF 2011-2014.

... causal and dynamic relationship among stock market, trading volume, and return volatility in South- East Asia market period of ...(VAR) and E-GARCH model. The causal and dynamic ...

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ANALYSIS OF PROFITABILITY RATIO AND MACROECONOMIC FACTORS TO STOCK RETURN AND SWOT STRATEGY (CASE STUDY: MINING SECTOR COMPANIES LISTED IN INDONESIA STOCK EXCHANGE YEAR 2010-2014)

ANALYSIS OF PROFITABILITY RATIO AND MACROECONOMIC FACTORS TO STOCK RETURN AND SWOT STRATEGY (CASE STUDY: MINING SECTOR COMPANIES LISTED IN INDONESIA STOCK EXCHANGE YEAR 2010-2014)

... funds and facilities for the community to invest in financial ...in stock returns in the mining sector listed in Indonesia Stock Exchange 2010-2014 period behind this research, because stock ...

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INFLUENCE OF INVESTORS’ ATTENTION ON STOCK RETURN, LIQUIDITY, AND RETURN VOLATILITY COMPARISON BETWEEN  INFLUENCE OF INVESTORS’ ATTENTION ON STOCK RETURN, LIQUIDITY, AND RETURN VOLATILITY COMPARISON BETWEEN MANUFACTURE COMPANIES IN INDONESIA AND INDIA.

INFLUENCE OF INVESTORS’ ATTENTION ON STOCK RETURN, LIQUIDITY, AND RETURN VOLATILITY COMPARISON BETWEEN INFLUENCE OF INVESTORS’ ATTENTION ON STOCK RETURN, LIQUIDITY, AND RETURN VOLATILITY COMPARISON BETWEEN MANUFACTURE COMPANIES IN INDONESIA AND INDIA.

... company stock on stock return, liquidity, and return volatility comparison between manufacture companies in Indonesia and India in the year of ...data and processed by ...

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INTRODUCTION  INFLUENCE OF INVESTORS’ ATTENTION ON STOCK RETURN, LIQUIDITY, AND RETURN VOLATILITY COMPARISON BETWEEN MANUFACTURE COMPANIES IN INDONESIA AND INDIA.

INTRODUCTION INFLUENCE OF INVESTORS’ ATTENTION ON STOCK RETURN, LIQUIDITY, AND RETURN VOLATILITY COMPARISON BETWEEN MANUFACTURE COMPANIES IN INDONESIA AND INDIA.

... company stock information on stock return, liquidity, and return volatility comparison between Indonesia and India focusing on manufacture ...Indonesia Stock Exchange ...

9

SEMLIT UAS – 10 Bungsu M – Earning Management and Stock Return

SEMLIT UAS – 10 Bungsu M – Earning Management and Stock Return

... situation and perspectives of the firm and also on its capacity to generate future cash ...firm and to shape accounting information, within the limits of ...results and stock rates is ...

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Investment Potential And The Effects Of Financial Ratios On Stock Return In Mining Sector of Sharia And Pro- Environment Stock Group

Investment Potential And The Effects Of Financial Ratios On Stock Return In Mining Sector of Sharia And Pro- Environment Stock Group

... rata-rata return dan annualized risk pada Indeks SRI-Kehati dan JII dari tahun 2009 sampai 2012 dapat dilihat pada Gambar ...rendahnya return yang akan diterima sehingga investor perlu untuk menambah ...

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ANALYSIS OF ABNORMAL STOCK RETURN, TRADING VOLUME OF SHARE AND VOLATILITY OF STOCK PRICE BEFORE AND AFTER STOCK SPLIT EVENT (STUDY ON THE GO PUBLIC COMPANY IN INDONESIA STOCK EXCHANGE PERIOD 2010-2012) ANALISIS ABNORMAL RETURN SAHAM, VOLUME PERDAGANGAN SA

ANALYSIS OF ABNORMAL STOCK RETURN, TRADING VOLUME OF SHARE AND VOLATILITY OF STOCK PRICE BEFORE AND AFTER STOCK SPLIT EVENT (STUDY ON THE GO PUBLIC COMPANY IN INDONESIA STOCK EXCHANGE PERIOD 2010-2012) ANALISIS ABNORMAL RETURN SAHAM, VOLUME PERDAGANGAN SA

... bahwa stock split mengakibatkan terjadinya penataan kembali harga saham pada rentang yang lebih rendah, sehingga diharapkan dapat meningkatkan likuiditas perdagangan saham di ...melakukan stock split karena ...

73

Stock Return Predictability

Stock Return Predictability

... for stock variance shows that stock variance has a positive significant effect to stock return ...5% and R-Squared in Indonesia is ...volume, and stock variance) are able ...

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