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Analisis faktor-faktor yang mempengaruhi holding period saham industri perbankan - Laporan Hasil Penelitian - Penelitian Kecil
The purpose of this research analyzed on between the market value, risk and dividend payout ratio to banking sector shares holding period. It used the secondary data from Bursa Efek Indonesia (BEI) which published monthly. Sampling that is used are the market value data, risk level, dividend payout ratio, and share value from LQ45 shares publicized within the 2005—2009 time period The method of analysis used descriptive statistic inferential. The result shows the dividend payout ratio does not significant influence to banking sector shares holding period. The market value show as positive significant and risk as negative significant have influenced to banking sector shares holding period. As the simultaneous, the three variables have positive significant influence to banking sector shares holding period it can be proofed with F value > F tabel (6.505 > 2.870). And all of the independence variables have had influenced for 32.7 percent to banking sector shares holding period. Key words: market value, risk, dividend payout ratio, and holding period. (VM)
Availability
16-00384 | 16-00384 | Perpustakaan Pusat | Available |
Detail Information
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Call Number |
16-00384
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Publisher | Perbanas Institute : Jakarta., 2011 |
Collation |
vi, 51p. ilus.: 30cm
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Language |
Indonesia
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ISBN/ISSN |
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Classification |
16-00384
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Edition |
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Statement of Responsibility |
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Other version/related
No other version available