Analisis Fundamental terhadap DPR, Return dan Risk Saham Perusahaan Pelayaran yang Tercatat di Bursa Efek Indonesia Periode 2012-2016
Wati, Merlin Dyah
Safitri, Karunia Eka
Putri, Shantica Nurwita Niantiara
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The purpose of this study is to know the correlation of fundamental variables consisting of Debt Ratio, Debt Equity Ratio, Return On Equity, Return On Assets, and Price Earnings Ratio to Deviden Payment Ratio, Stock Return, and Risk of shares in shipping company listed in Stock Exchange Indonesia (BEI). The samples used are shares of shipping companies listed in Indonesia Stock Exchange (IDX) during the year 2012 - 2016. The research method used is quantitative method. For sample determination using purposive sampling method. Scale of data used is ratio and method of analysis used is correlation test (Bivariate Colleration) by using computer program IMB SPSS 25. The result of research show existence correlation of each other. That is: DPR and ROE, Risk and DR, Risk and DER, Return and ROE, Return and PER, DR and DER, DER and ROA, the last is ROA and ROE.