CD Skripsi
Determinasi Tingkat Kesehatan Bank Terhadap Nilai Perusahaan Dengan Good Corporate Governance Sebagai Variabel Moderasi (Studi Empiris Pada Perusahaan Perbankan Yang Terdaftar Di Bursa Efek Indonesia Pada Tahun 2015-2018)
This study aims to analyze the determination of the level of bank soundness on firm
value with good corporate governance (GCG) as a moderating variable, the independent
variables in this study are risk profile, earnings, capital and moderating variable good corporate
governance (GCG), the dependent variable in this study. is the company value as measured by
Tobin's Q.
This study uses annual report data obtained from banking companies listed on the
Indonesia Stock Exchange for the period 2015-2018. The data collection technique in this study
used a purposive sampling method so that the research sample was 25 companies. The analysis
technique used in this research is multiple linear regression analysis, the coefficient of
determination, the F test and multiple regression analysis (MRA). Multiple linear analysis is
used to test the strength of the relationship between the independent variables on firm value, the
coefficient of determination is used to measure how far the model's ability to explain variations
in the independent variable is used, the F test is used to determine whether the independent
variables have a joint influence on the dependent variable, whereas Multiple regression analysis
(MRA) is used to determine whether the GCG variable can strengthen or weaken the
independent variable on firm value.
The results of this study indicate that the Risk Profile has a positive and significant
effect on firm value, Earnings has a positive and significant effect on firm value, and Capital has
a positive and significant effect on firm value. Good Corporate Governance (GCG) is able to
strengthen the relationship between risk profile, earnings and capital to company value.
Keywords: Risk Profile, Earnings, Capital, Good Corporate Governance, Company Value.
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