{"title":"PENGARUH PERPUTARAN PIUTANG DAN DEBT TO EQUITY RATIO TERHADAP RETURN ON ASSET (Kasus pada PT Kimia Farma Tbk)","authors":"A. Subrata, Cindera Syaiful Nugraha","doi":"10.37058/banku.v3i1.4991","DOIUrl":null,"url":null,"abstract":"ABSTRACTThe purpose of this study was to determine and analyze the cycle of receivables and Debt to Equity Ratio Return on Assets at PT Kimia Farma Tbk. The research approach used in this study is a quantitative approach with an explanatory type of method. This study uses secondary data with a sampling technique using purposive sampling. The statistical method used is multiple linear regression. Results Based on the research, the magnitude of the effect of receivables and debt to equity ratio on return on assets is 93.8%. The results of hypothesis testing explain that both simultaneously and passively receivables turnover and debt to equity ratio jointly have a significant effect on Return On Assets at PT Kimia Farma Tbk.Keywords: receivable turnover; debt to equity ratio; return on asset. ABSTRAKTujuan dari penelitian ini adalah untuk mengetahui dan menganalisis perputaran piutang dan Debt to Equity Ratio terhadap Return on Asset pada PT Kimia Farma Tbk. Pendekatan penelitian yang digunakan dalam penelitian ini adalah pendekatan kuantitatif dengan jenis metodenya explanatory. Penelitian ini menggunakan data sekunder dengan teknik sampling menggunakan purposive sampling. Metode statistik yang digunakan adalah regresi linier berganda. Berdasarkan hasil penelitian besarnya pengaruh perputaran piutang dan debt to equity ratio terhadap return on asset sebesar 93,8%. Hasil uji hipotesis menjelaskan bahwa baik secara simultan maupun parsial perputaran piutang dan debt to equity ratio berpengaruh signifikan terhadap Return On Asset pada PT Kimia Farma Tbk.Kata Kunci: perputaran piutang; debt to equity ratio; return on asset.","PeriodicalId":237752,"journal":{"name":"BanKu: Jurnal Perbankan dan Keuangan","volume":"106 1","pages":"0"},"PeriodicalIF":0.0000,"publicationDate":"2022-06-05","publicationTypes":"Journal Article","fieldsOfStudy":null,"isOpenAccess":false,"openAccessPdf":"","citationCount":"0","resultStr":null,"platform":"Semanticscholar","paperid":null,"PeriodicalName":"BanKu: Jurnal Perbankan dan Keuangan","FirstCategoryId":"1085","ListUrlMain":"https://doi.org/10.37058/banku.v3i1.4991","RegionNum":0,"RegionCategory":null,"ArticlePicture":[],"TitleCN":null,"AbstractTextCN":null,"PMCID":null,"EPubDate":"","PubModel":"","JCR":"","JCRName":"","Score":null,"Total":0}
引用次数: 0
Abstract
ABSTRACTThe purpose of this study was to determine and analyze the cycle of receivables and Debt to Equity Ratio Return on Assets at PT Kimia Farma Tbk. The research approach used in this study is a quantitative approach with an explanatory type of method. This study uses secondary data with a sampling technique using purposive sampling. The statistical method used is multiple linear regression. Results Based on the research, the magnitude of the effect of receivables and debt to equity ratio on return on assets is 93.8%. The results of hypothesis testing explain that both simultaneously and passively receivables turnover and debt to equity ratio jointly have a significant effect on Return On Assets at PT Kimia Farma Tbk.Keywords: receivable turnover; debt to equity ratio; return on asset. ABSTRAKTujuan dari penelitian ini adalah untuk mengetahui dan menganalisis perputaran piutang dan Debt to Equity Ratio terhadap Return on Asset pada PT Kimia Farma Tbk. Pendekatan penelitian yang digunakan dalam penelitian ini adalah pendekatan kuantitatif dengan jenis metodenya explanatory. Penelitian ini menggunakan data sekunder dengan teknik sampling menggunakan purposive sampling. Metode statistik yang digunakan adalah regresi linier berganda. Berdasarkan hasil penelitian besarnya pengaruh perputaran piutang dan debt to equity ratio terhadap return on asset sebesar 93,8%. Hasil uji hipotesis menjelaskan bahwa baik secara simultan maupun parsial perputaran piutang dan debt to equity ratio berpengaruh signifikan terhadap Return On Asset pada PT Kimia Farma Tbk.Kata Kunci: perputaran piutang; debt to equity ratio; return on asset.
摘要本研究的目的是确定和分析PT Kimia Farma Tbk的应收账款周期和负债权益比资产收益率。本研究使用的研究方法是一种定量的方法与解释型的方法。本研究使用二手数据和有目的抽样的抽样技术。统计方法为多元线性回归。结果根据研究,应收账款和负债权益比对资产收益率的影响幅度为93.8%。假设检验的结果说明,同时和被动应收账款周转率和负债权益比共同对PT Kimia Farma Tbk的资产收益率有显著影响。关键词:应收账款周转;负债权益比率;资产回报率。【摘要】【摘要】【关键词】负债权益比(Debt to Equity Ratio);资产收益率(Return on Asset);Pendekatan penelitian yang digunakan dalam penelitian ini adalah Pendekatan kuantitatif dengan jenis mettodenya解释性。Penelitian ini孟古纳坎数据采集采用登干技术抽样孟古纳坎目的抽样。方法统计杨迪库纳坎adalah回归线性贝甘达。Berdasarkan hasil penelitian besarya pengaruh perputaran piutang dan负债与权益比率,即资产回报率为93,8%。Hasil - uji hipoesis menjelaskan bahwa baik secara同时,maupun parparan perputaran piutang债务与股本比率berpengararu显著高于资产回报率(报酬率)PT Kimia Farma Tbk。Kata Kunci:臭皮堂;负债权益比率;资产回报率。