PENGARUH RETURN ON ASSET (ROA), EARNING PER SHARE (EPS), DAN NET INTEREST MARGIN (NIM) TERHADAP HARGA SAHAM PADA PERUSAHAAN PERBANKAN YANG TERDAFTAR DI BURSA EFEK INDONESIA PERIODE 2019-2022
Keywords:
Return On Assets (ROA), Earning Per Share (EPS), Net Interest Margin (NIM)Abstract
This research aims to analyze how much influence Return On Assets (ROA), Earning Per Share (EPS), and Net Interest Margin (NIM) have on share prices in banking companies listed on the Indonesia Stock Exchange for the 2019-2022 period, both partially and simultaneously. The number of samples used in this research were 6 state-owned banking companies listed on the Indonesia Stock Exchange. The type of data is secondary data sourced from financial reports and annual reports. The data analysis method used is the multiple linear analysis method. The results of hypothesis testing show that simultaneously Return On Assets (ROA), Earning Per Share (EPS), and Net Interest Margin (NIM) have a significant effect on stock prices. Partially, Return On Assets (ROA), Earning Per Share (EPS), and Net Interest Margin (NIM) influence stock prices.
References
Agus, Sartono. (2008). Manajemen Keuangan Teori dan Aplikasi. Edisi Empat. Yogyakarta: BPFE
Ang, Robert. (2007). Buku Pintar Pasar Modal Indonesia (The Intelligent Guide To Indonesian Capital Market). Edisi Pertama. Mediasoft Indonesia. Jakarta.
Brigham dan Houston. (2001). Fundamentals Of Financial Management (Dasar-dasar manajemen keuangan) (10th ed). Jakarta:Salemba Empat
_________________. (2010). Dasar-dasar Manajemen Keuangan. Buku 1 (Edisi 11). Jakarta: Salemba Empat
Brigham, Eugene F.dan Joel Houston, (2004). Financial Management, Edisi 10, Jilid 1,Penerbit Salemba Empat, Jakarta.
Darmadji, Tjiptono, dan Fakhruddin. (2012). Pasar Modal di Indonesia. Edisi Ketiga. Jakarta: Salemba Empat
Darsono Prawironegoro, (2007). Akuntansi Manajemen, Edisi 2, Jakarta: Mira wacana Media
Fabozzi, Frank. J. (2012). Manajemen Investasi. Jakarta: Salemba Empat, Jakarta
Fahmi, Irham. (2012). Analisis Laporan Keuangan. Cetakan ke-2. Bandung
Gitman, Lawrence J dan Chad J. Zutter. (2012). Principles Of Managerial Finance. 13th Edition. Global Edition: Pearson Education Limited
Hartono Jogiyanto. (2008). Teori Portofolio dan Analisis Investasi. Edisi Keenam, Yogyakarta: BPFE
Hermuningsih, Sri. (2012). Pengantar Pasar Modal Indonesia. Yogyakarta: UPP STIM YKPN.
Jogiyanto. (2008). Teori Portofolio dan Analisis Investasi. Edisi Kelima, BPFE. Yogyakarta.
Martalena dan Maya Malinda. (2012). Pengantar Pasar Modal. Bandung ; Andi Yogyakarta.