Pengaruh Risiko Sistematik, Persistensi Laba, Default Risk dan Profitabilitas terhadap Earning Response Coefficient pada Perusahaan Perbankan
Daftar Isi:
- This study aims to examine the effect of systematic risk, earnings persistence, default risk and profitability on earning response coefficient. The method of this research is a quantitativ approach. Object under study is a banking companies listed in Indoensia Stock Exchange (BEI) during the periode 2015-2018, as many 45 companies for 4 years with 180 total sample. Testing is done by using multiple linier regression analysis by using SPSS version 26.The results showed that the default risk and profitability has significant effect to the earning response coefficient. Systematic risk and earnings persistence has no significant effect to the earning response coefficient. Keywords: systematic risk, earnings persistence, default risk, profitability, earning response coefficient.