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dc.contributor.authorChuzaimah
dc.contributor.authorAmalina, Nur
dc.date.accessioned2014-08-08T02:57:30Z
dc.date.available2014-08-08T02:57:30Z
dc.date.issued2014-07
dc.identifier.citationArista, Desi. 2012. Analisis Faktor Faktor Yang Mempengaruhi Return Saham (Kasus Pada Perusahaan Manufaktur yang Go Public di BEI periode tahun 2005 – 2009). Jurnal Ilmu Manajemen dan Akuntansi Terapan. Vol. 3, No. 1, Mei 2012. Fahmi, Irham. 2013. Rahasia Saham dan Obligasi. Bandung: Alfabeta. Ghozali, Imam. 2011. Aplikasi Analisis Multivariate Dengan Progam IBM SPSS 1. Badan Penerbit Universitas Diponegoro. Hanafi, Mahmud M. 2004. Analisis Laporan Keuangan. Yogyakarta: BPFE. Harjito, Agus dan Martono. 2008. Manajemen Keuangan Edisi 1. Yogyakarta: Ekonisia. Husnan, Suad dan Pudjiastuti, Enny. 2002. Dasar – Dasar Manajemen Keuangan Edisi 3. Yogyakarta: UPP AMP YKPN. Jogiyanto, H.M. 2003. Teori Portofolio dan Analisis Investasi. Yogyakarta: BPFE– UGM. _______.2004. Metodologi Pemelitian Bisnis. Yogyakarta: BPFE – UGM _______. 2010. Teori Portofolio dan Analisis Investasi. Yogyakarta:BPFE–UGM. Pribawati, Tika Maya. 2007. “Analisis Pengaruh Rasio Keuangan Terhadap Total Return Saham Pada Perusahaan Industri Manufaktur yang Membagikan Dividen di Bursa Efek Jakarta”. Semarang: Fakultas Ekonomi Universitas Negeri Semarang.en_US
dc.identifier.isbn978-602-70429-1-9
dc.identifier.urihttp://hdl.handle.net/11617/4673
dc.description.abstractThe purpose of this research is to know the influence of fundamental factor that consists of Current Ratio, Total Assets Turnover, Return On Asset, Debt to Equity Ratio, and Price to Book Value for syari’ah stock return in the company that has combination into Jakarta Islamic Index (JII) year 2007-2011. This research using of sample from the companies that has combination in the group of Jakarta Islamic Index (JII) in the stock exchange Indonesia year 2007-2011. The method of taking sample by using of purposive sampling method. From those method it gets 12 sample of syari’ah stock that can fulfill the criteria to use as the research sample. The model of analysis that used in this research is multiple linear regression technique. The result of this analysis shows the fundamental factor that consists of Current Ratio, Total Assets Turnover, Return On Asset, Debt to Equity Ratio, and Price to Book Value as a simultaneous gives the significant effect for the stock return. The result from this analysis as a partial Return On Asset, Debt to Equity Ratio, and Price to Book Value have the significant effect for the stock return, meanwhile Current Ration and Total Assets Turnover does not give the significant effect for the stock return. The result of the research shows 37,3% variable return stock variation can be explained by Current Ratio Variable, Total Assets Turnover, Return On Asset, Debt to Euity Ratio, and Price to Book Value. While the rest 62,7% variable return stock variation explained by another factor in the outside of model.en_US
dc.publisherUniversitas Muhammadiyah Surakartaen_US
dc.subjectCurrent Ratioen_US
dc.subjectTotal Assets Turnoveren_US
dc.subjectReturn On Asseten_US
dc.subjectDebt to Equity Ratio and Price to Book Valueen_US
dc.subjectand stock returnen_US
dc.titleAnalisis Pengaruh Faktor-Faktor Fundamental Terhadap Return Saham Syariah Pada Perusahaan yang Tergabung Dalam Jakarta Islamic Index (Jii) Tahun 2007-2011en_US
dc.typeArticleen_US


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