Abstract

ABSTRACT. The purpose of this study was to determine the effect of Net Profit Margin and Return on Assets on stock prices at PT. Mayora Indah, Tbk. The types of data used are qualitative data and quantitative data. Source of data used is secondary data. The analytical method used is multiple regression analysis. The results showed that the regression equation was Y = 1,809 + 12.58 X1 + 39.94 X2, while the correlation coefficient was 0.260. The coefficient of determination is 6.80%. t calculate Net Profit margin 0.022 <2.353 from t table, meaning that Net Profit Margin has a positive but not significant effect on stock prices at PT. Mayora Indah, Tbk. t calculate Return on Assets 0.084 <t table 2.353, meaning that Return on Assets has a positive but not significant effect on the stock price of PT. Mayora Indah, Tbk. While the results of the calculation of the F-test 0.072 <F table 19.00, it means that Net Profit Margin and Return on Assets have a positive but not significant effect on stock prices at PT. Mayora Indah, Tbk.

Full Text
Paper version not known

Talk to us

Join us for a 30 min session where you can share your feedback and ask us any queries you have

Schedule a call

Disclaimer: All third-party content on this website/platform is and will remain the property of their respective owners and is provided on "as is" basis without any warranties, express or implied. Use of third-party content does not indicate any affiliation, sponsorship with or endorsement by them. Any references to third-party content is to identify the corresponding services and shall be considered fair use under The CopyrightLaw.