Noor, Lutfi Rizali and Siregar, Baldric (2024) Faktor-Faktor Yang Mempengaruhi Return Saham Perusahaan Perbankan Dengan Risiko Pasar Sebagai Variabel Mediasi. Jurnal thesis, Sekolah Tinggi Ilmu Ekonomi YKPN Yogyakarta.
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Abstract
The aim of this research is to analyze the factors influencing the stock returns of banking companies with market risk as a mediating variable. The population of this study consists of banking companies listed on the Indonesia Stock Exchange during the period 2018-2022. The sampling technique used was purposive sampling, resulting in 41 companies. Data analysis was conducted using Structural Equation Modeling (SEM). The research findings indicate that company size, dividend payout, and diversification affect market risk, while liquidity, financial leverage, and diversification influence stock returns. Furthermore, market risk was found to mediate the relationships between company size, dividend payout, and diversification on stock returns.
Item Type: | Thesis (Jurnal) |
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Additional Information: | Thesis dapat dibaca di Perpustakaan dengan Call Number NOO F 659/2024 |
Uncontrolled Keywords: | Company Size, Liquidity, Dividend Payout, Financial Leverage, Profitability, Diversification, Market Risk, and Stock Return. |
Subjects: | AKUNTANSI > Pasar Modal |
Divisions: | Program Pasca Sarjana > Jurnal Tesis Magister Akuntansi |
Depositing User: | Unnamed user with email webmaster@stieykpn.ac.id |
Date Deposited: | 15 Nov 2024 02:17 |
Last Modified: | 15 Nov 2024 02:17 |
URI: | http://repositorybaru.stieykpn.ac.id/id/eprint/3033 |
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