CD Skripsi
Pengaruh Manajemen Risiko, Tata Kelola Perusahaan Terhadap Kinerja Perusahaan Dan Nilai Perusahaan (Studi Pada Perusahaan Sektor Perbankan Yang Terdaftar Di Bursa Efek Indonesia Tahun 2013-2017)
This study aims to determine the effect of risk management, corporate governance on company performance and company value. The population in this study is a banking sector company listed on the Indonesia Stock Exchange in 2013-2017.
Risk management is measured using Net Interest Margin (NIM), governance is measured using Independent Commissioner (KIND), company performance is measured using Return On Assetd (ROA), and company value is measured using Price Earning Ratio (PER). The research sample was determined by purposive sampling method, and obtained 21 companies. The type of data used is secondary data. The technique of collecting data is by documentation techniques. The analysis used in this study is path analysis. The results of the study are risk management has a negative and significant direct effect on firm value, corporate governance has a positive and significant direct effect on firm value, firm performance has a positive and significant direct effect on firm value, risk management has a negative and significant indirect effect on firm value through company performance, and corporate governance has a positive and significant indirect effect on firm value through company performance. Note : risk management, good corporate governance, company performance and firm value.
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