Analisis Return dan Risiko terhadap Praktik Income Smoothing (Studi Kasus pada Saham Sektor Manufaktur dan Keuangan di Bursa Efek Indonesia)

Gestania, - (0651389) (2010) Analisis Return dan Risiko terhadap Praktik Income Smoothing (Studi Kasus pada Saham Sektor Manufaktur dan Keuangan di Bursa Efek Indonesia). Undergraduate thesis, Universitas Kristen Maranatha.

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Abstract

Today the capital markets more attractive to people of Indonesia. This can be seen from the increasing frequency and volume of activity on the Stock Exchange, where the company is also competing to provide the best pro forma company. With respect thereto, then this study tried to see if there is a difference between return and risk that firms practice income smoothing with a no, also to see whether the return and risk have an impact on income smoothing practices. The variables used include the geometric return and beta stocks. While the data used is the monthly stock prices, JCI and accounting data. In analyzing the data used ANOVA models, simple regression and multiple regression. The results showed that there is a difference between return and risk of corporate income smoothers and non-income smoothers. And also return and risk affect the practice of income smoothing.

Item Type: Thesis (Undergraduate)
Uncontrolled Keywords: Income smoothing, return, risk, income.
Subjects: H Social Sciences > HF Commerce > HF5601 Accounting
Divisions: Faculty of Economics > 51 Accounting Department
Depositing User: Perpustakaan Maranatha
Date Deposited: 05 Jun 2015 11:04
Last Modified: 05 Jun 2015 11:04
URI: http://repository.maranatha.edu/id/eprint/12929

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