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Analisa Profitabilitas, Likuiditas Terhadap Nilai Perusahaan dengan Struktural Modal Sebagai Variabel Moderating pada Perusahaan Properti yang Terdaftar di Bursa Efek Indonesia Tahun 2017-2021
This study's goal is to explore and assess the profitability, liquidity, and firm value of property companies listed on the Indonesia Stock Exchange between 2017 and 2021 using capital structure as a moderating variable. Because the data in this study is in the form of numbers, it is quantitative in nature and is based on a causality approach. This study's main objective is to analyze profitability, liquidity, and firm value with capital structure acting as a moderating variable. The population of the study consists of all the real estate firms registered on the Indonesia Stock Exchange between 2017 and 2021. Purposive sampling was the technique employed in this research. Multiple Regression and Moderated Regression Analysis (MRA) as well as descriptive statistics are used in the data analysis for this study. Utilizing the SPSS 23 application program, computer technology will be used to assist in the analysis of the data acquired for this study. All real estate companies listed on the Indonesia Stock Exchange for the years 2017 through 2021 will benefit from profitability in terms of firm value. For the period of 2017 to 2021, all property businesses listed on the Indonesia Stock Exchange can use capital structure to reduce the negative impact of profitability on firm value. For the period of 2017 to 2021, all of the property businesses listed on the Indonesia Stock Exchange can use capital structure to reduce the negative impact of liquidity on company value
TES23/040 | TES 23/040 | Prodi Magister Manajemen | Tersedia |
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