Skripsi
ANALISIS RASIO LIKUIDITAS, SOLVABILITAS, PROFITABILITAS, EFISIENSI DAN PASAR PT. BAKRIE TELEKOM TBK, PT. XL AXIATA TBK, DAN PT.SMARTFREEN TELEKOM TBK DI BURSA EFEK INDONESIA
This research was aimed at identifying the financial performance of PT. Bakrie Telekom Tbk, PT. XL Axiata Tbk, and PT, Smartfren Telekom Tbk. The analysis of the Liquidity, Solvability, Profitability, Efficiency, and Market ratio was computed by One-Way Anova. The research result shows that each company has its own outstanding ratios. PT. Bakrie Telekom Tbk had the best liquidity and solvability ratio (debt equity ratio), PT. Smartfreen Telekom Tbk had the best solvability ratio (debt asset ratio). In terms of profitability, PT. XL Axiata Tbk had the best ratio. In terms of efficiency PT. Smartfreen Telekom Tbk had the best ratio in receivable turnover, PT. Bakrie Telekom Tbk had the best ratio in inventory turnover and working capital turnover, and PT. XL Axiata Tbk had the best ratio in fixed asset turnover and total asset turnover. The market ratio was led by PT. XL Axiata Tbk, the price earning ratio by PT. Bakrie Telekom Tbk. The Hypothesis testing using differential testing One Way Anova shows that there are significance differences between financial performance, consisted of cash ratio, debt to asset ratio, inventory turnover, fixed asset turnover, total asset turnover, and earning per share.
Inventory Code | Barcode | Call Number | Location | Status |
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1407003058 | T17770 | T177702014 | Central Library (REFERENCES) | Available but not for loan - Not for Loan |
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