PENGARUH FAKTOR-FAKTOR MIKRO DAN MAKRO TERHADAP RISIKO INVESTASI SAHAM (Studi pada Perusahaan Manufaktur Subsektor Tekstil yang Terdaftar Di Bursa Efek Indonesia Periode 2009-2013)

Main Author: Haryani, Sari
Format: Thesis NonPeerReviewed Book
Bahasa: ind
Terbitan: , 2015
Subjects:
Online Access: https://eprints.untirta.ac.id/13270/1/PENGARUH%20FAKTOR-FAKTOR%20MIKRO%20DAN%20MAKRO%20TERHADAP%20RISIKO%20INVESTASI%20SAHAM%20Studi%20pada%20Perusahaan%20Manu.pdf
https://eprints.untirta.ac.id/13270/
https://feb.untirta.ac.id
Daftar Isi:
  • his research aims to analyze the impact of current ratio, Debt to Equity Ratio, Return On Asset, Return On Investment, Total Asset Turnover, Interest Rate, Exchange Rate, Inflation, and Gross Domestic Product on Stock Investment Risk. Population of this research is textile companies of manufacture sector listed in Indonesia Stock Exchange With the Period 2009 – 2013. Samples of this research are 6 (six) companies taken by using purposive sampling method. Analyzing technique used in this research is analyzing hypothesis by using T-Test. The result of partial analysis data shows that CR, DER, ROA, and Inflation do not positively affect to stock investment risk. Also, TATO, Interest Rate, and Exchange Rate do not negatively affect to stock investment risk. Meanwhile, ROI and GDP do not affect to to stock investment risk due to they are not put in research model.