INTERNAL FACTORS AND FIRM VALUE: A Case Study of Indonesia Listed Companies

dc.contributor.authorMariana, Citra
dc.contributor.authorAndari, Diah
dc.contributor.authorSusiani, Rini
dc.contributor.authorSaudi, Mohd Haizam Mohd
dc.date.accessioned2021-02-11T23:48:18Z
dc.date.available2021-02-11T23:48:18Z
dc.date.issued2019
dc.description.abstractThis study aims to reveal the debt to equity ratio and return on assets to the firm value in the property and real estate sector companies on the Indonesia Stock Exchange in 2015-2017. The method used in this study is explanatory. This research was conducted on data in the form of financial statements. To analyse the research data, multiple linear regression analysis was used. Based on the results of multiple linear regression analysis shows that the debt to equity ratio and return on assets simultaneously have a positive effect on the firm value on property and real estate companies on the Indonesia Stock Exchange in 2015-2017. Partially the debt to equity ratio affect the firm value of property and real estate companies on the Indonesia Stock Exchange in 2015-2017. Return on assets effect the firm value in property and real estate companies on the Indonesia Stock Exchange in 2015-2017.en_US
dc.identifier.issn1943-023X
dc.identifier.urihttp://repository.widyatama.ac.id/xmlui/handle/123456789/12400
dc.language.isoenen_US
dc.publisherJournal of Advanced Research in Dynamical & Control Systems, Vol. 11, 03-Special Issueen_US
dc.subjectDebt to Equity Ratioen_US
dc.subjectReturn on Asseten_US
dc.subjectFirm Valueen_US
dc.titleINTERNAL FACTORS AND FIRM VALUE: A Case Study of Indonesia Listed Companiesen_US
dc.typeArticleen_US
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