ARDHIATAMA, EZA MAHASTRA (2022) Analisis Kinerja Keuangan dan Kinerja Pasar PT Unilever Indonesia Tbk tahun 2019-2021. KTTA thesis, Politeknik Keuangan Negara STAN.
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Abstract
"ABSTRAK Pandemi Covid 19 yang terjadi pada awal tahun 2020 berdampak negatif pada pola konsumsi rumah tangga. Hal ini juga berdampak pada beberapa sektor di bursa saham yang mencatatkan kinerja negatif selama pandemi, seperti dalam sektor consumer goods. Salah satu perusahaan yang bergerak pada sektor ini adalah PT Unilever Indonesia Tbk. Sejak awal tahun 2021 harga saham perusahaan meengalami koreksi yang cukup dalam, yaitu sebesar 38,25 %. Untuk itu, penelitian ini bertujuan untuk menganalisis bagaimana kinerja keuangan dan kinerja pasar pada PT Unilever Indonesia tahun 2019-2021. Analisis kinerja keuangan yang digunakan adalah rasio keuangan yang meliputi rasio likuiditas, rasio profitabilitas, dan rasio solvabilitas. Sementara itu untuk analisis kinerja pasar yang digunakan adalah harga saham dan price earning ratio. Metode yang digunakan dalam pengumpulan data adalah metode studi kepustakaan. Data yang digunakan merupakan data kuantitatif yang bersifat sekunder terkait laporan tahunan dan laporan keuangan PT Unilever Indonesia Tbk. Hasil penelitian menunjukkan bahwa kinerja keuangan untuk rasio likuiditas dan solvabilitas mendapatkan hasil di bawah rata-rata industri. Namun untuk rasio profitabilitas setelah dibandingkan dengan rata-rata industri, PT Unilever Indonesia Tbk mendapatkan hasil yang lebih baik. Sedangkan kinerja pasar terlihat perbedaan yang cukup besar, dengan turunnya harga saham PT Unilever Indonesia Tbk yang lebih besar dibanding rata-rata industri. kata kunci: Pandemi covid-19, Kinerja keuangan, kinerja pasar, rasio keuangan ABSTRACT The Covid 19 pandemic that occurred in early 2020 had a negative impact on household consumption patterns. This also had an impact on several sectors of the stock market that recorded negative performances during the pandemic, such as the consumer goods sector. One of the companies engaged in this sector is PT Unilever Indonesia Tbk. Since the beginning of 2021, the company's stock price has experienced a fairly deep correction, which is 38.25%. For this reason, this study aims to analyze how the financial performance and market performance of PT Unilever Indonesia in 2019-2021. Financial performance analysis used is financial ratios which include liquidity ratios, profitability ratios, and solvency ratios. Meanwhile, for market performance analysis, stock prices and price earnings ratios are used. The method used in data collection is the literature study method. The data used is secondary quantitative data related to the annual reports and financial statements of PT Unilever Indonesia Tbk. The results showed that the financial performance for liquidity and solvency ratios was below the industry average. However, for the profitability ratio after being compared with the industry average, PT Unilever Indonesia Tbk got better results. Meanwhile, the market performance showed a fairly large difference, with the decline in the stock price of PT Unilever Indonesia Tbk which was greater than the industry average. keywords: Covid 19 pandemic, financial performance, market performance, financial ratio"
| Item Type: | Thesis (KTTA) |
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| Uncontrolled Keywords: | Covid 19 pandemic, financial performance, market performance, financial ratio |
| Subjects: | 600 – Technology (Applied Sciences) > 650-659 Management and Auciliary Service > 657 Accounting PKN STAN Subject Area > Akuntansi Keuangan |
| Divisions: | 62401 Diploma III Akuntansi |
| Depositing User: | Perpustakaan PKN STAN |
| Date Deposited: | 18 Oct 2024 07:14 |
| Last Modified: | 18 Oct 2024 07:14 |
| URI: | http://eprints.pknstan.ac.id/id/eprint/2345 |
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