(revisi) Kerangka pemikiran

faktor-faktor fundamental yang diteliti adalah:

jurnal 1 : variabel Gross Profit Margin (GPM), Operating Profit Margin (OPM), Net Profit Margin (NPM), Earning Per Share (EPS), Price Earning Ratio (PER), Book Value Per Share (BVS), Price To Book Value (PBV), serta beta saham (resiko sistematik)

Jurnal 2 :  variable Earning per Share (EPS), Book Value per Share (BVS), Return on Asset (ROA), Price to Book Value (PBV), Dividend Payout Ratio (DPR), Debt to Equity Ratio (DER), BETA (resiko sistematik)

Jurnal 3 : variable Return On Equity (ROE), Return On Investment (ROI), Book Value Per Share (BVS), Price Earning Ratio (PER), Price to Book Value (PBV), Debt Equity Ratio (DER), Deviden Payout Ratio (DPR), beta (resiko sistematik)

 

Jika digabung dalam persamaan regresi, maka akan menghasilkan

Faktor Fundamental (Y) =

  1. Gross Profit Margin (X1)
  2. Operating Profit Margin (X2)
  3. Net Profit Margin (X3)
  4. Earning Per Share (X4)
  5. Price Earning Ratio (X5)
  6. Book Value Per Share (X6)
  7. Price To Book Value (X7)
  8. Return on Asset (X8)
  9. Deviden Payout Ratio (X9)
  10. Debt to Equity Ratio (X10)
  11. Return On Equity (X11)
  12. Return On Investment(X12)
  13. Beta (X13)

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