Zobrazeno 1 - 8
of 8
pro vyhledávání: '"Faizal Ridwan"'
Publikováno v:
Aksioma: Jurnal Program Studi Pendidikan Matematika, Vol 9, Iss 3, Pp 591-600 (2020)
This study aims to develop mathematics learning based on a scientific approach to support learning mathematics in understanding mathematical concepts. This research method is to use research and development with 4D models. The 4D model consists of fo
Externí odkaz:
https://doaj.org/article/53abe72f13b543e4a1649ba526243705
Publikováno v:
Jurnal Riset Bisnis dan Manajemen. 15:15-19
This study aims to determine and analyze The Effect of Earning Per Share and Debt to Equity Ratio on Stock Return of Industrial sector manufacture cable companies in Indonesia. This research uses a case study method, because the nature and types of d
Publikováno v:
SEGMEN Jurnal Manajemen dan Bisnis. 17
Penelitian ini bertujuan untuk mengetahui pengaruh financial literacy dan faktor demografi terhadap keputusan investasi. Dalam hal ini digunakan metode survei. Populasi dalam penelitian ini adalah mahasiswa Universitas Muhammadiyah Prof. DR. HAMKA Fa
Publikováno v:
Proceedings of the Proceedings of the 1st International Conference on Economics, Management, Accounting and Business, ICEMAB 2018, 8-9 October 2018, Medan, North Sumatra, Indonesia.
Autor:
Faizal Ridwan Zamzany, Edi Setiawan
Publikováno v:
Akuntabilitas. 11
This study aims to compare the performance of conventional stock mutual funds and Islamic stock mutual funds with the Sharpe Index method, Treynor Index, and Jensen Index. This study aims to determine whether there are differences in performance betw
Publikováno v:
Esensi: Jurnal Bisnis dan Manajemen. 8
Financial reaction signal is one of the crucial points to predict the stock’s price. This study aims to identify the financial reaction signal toward the stock’s price on the agricultural sector in Indonesia. The variables studied were Return on
Publikováno v:
Jurnal Manajemen Motivasi. 14:47
The purpose of this research is to analyze and determine whether there is a direct effect of Return On Asset (X1) and the Debt to Equity Ratio (X2) the Stock Return (Y) (study on property sector listed in the Indonesian Stock Exchange). The populatio
Publikováno v:
Jurnal Nusantara Aplikasi Manajemen Bisnis, Vol 3, Iss 1, Pp 78-87 (2018)
JURNAL NUSANTARA APLIKASI MANAJEMEN BISNIS; Vol. 3 No. 1 (2018): Jurnal NUSAMBA; 78-87
Jurnal Nusantara Aplikasi Manajemen Bisnis; Vol 3 No 1 (2018): Jurnal NUSAMBA; 78-87
JURNAL NUSANTARA APLIKASI MANAJEMEN BISNIS; Vol. 3 No. 1 (2018): Jurnal NUSAMBA; 78-87
Jurnal Nusantara Aplikasi Manajemen Bisnis; Vol 3 No 1 (2018): Jurnal NUSAMBA; 78-87
This research is aimed to knowing and analyzing the effect of the cash position, debt to equity ratio, return on asset and firm size to divident payout ratio. The type of data used in this study is pool data which is a combination time series, and cr