ANALISIS PENGARUH FAKTOR EKONOMI PADA SAHAM PERBANKAN DI BURSA EFEK INDONESIA

Authors

  • Sumarsih Sumarsih

Keywords:

Capital Adequacy Ratio, Non Performing Loans, Operational Costs to Operating Income, Inflation, Stock Return.

Abstract

This study aims to determine the effect of economic factors on banking stocks on the Indonesian stock exchange. The sampling technique used was purposive sampling. Analysis of the data used is the method of multiple regression analysis using SPSS 20. The empirical results of this study indicate that microeconomic factors namely Capital Adequacy Ratio, Non Performing Loans have a negative but not significant effect on stock returns while Operational Costs on Operational Income have a negative and significant effect on return stock. The macroeconomic factors namely inflation shows a negative and significant influence on stock returns. The implication is that this research can strengthen signal theory and arbitrage pricing theory and add insight to future researchers, as well as additional references for banking companies in considering the role of predictor variables as in this study. which affects stock returns.

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References

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Published

2019-05-05

How to Cite

Sumarsih, S. (2019). ANALISIS PENGARUH FAKTOR EKONOMI PADA SAHAM PERBANKAN DI BURSA EFEK INDONESIA. Akrab Juara : Jurnal Ilmu-Ilmu Sosial, 4(2), 209–225. Retrieved from https://akrabjuara.com/index.php/akrabjuara/article/view/578

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