SIREGAR, KEVIN GABRIEL (2022) Analisis Fundamental dengan Pendekatan Top-Down pada PT. Tower Bersama Infrastructure Tbk sebagai dasar Keputusan Investasi. KTTA thesis, Politeknik Keuangan Negara STAN.
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Abstract
Penelitian ini bertujuan untuk mengukur prospek bisnis, kinerja keuangan dan valuasi saham PT. Tower Bersama Infrastructure Tbk sebagai dasar keputusan investasi melalui analisis fundamental pendekatan top down. Variabel ekonomi makro seperti inflasi, nilai tukar mata uang, produk domestik bruto, dan tingkat suku bunga digunakan untuk analisis ekonomi dan analisis SWOT digunakan untuk analisis industri. Sementara itu analisis rasio meliputi rasio likuiditas, solvabilitas, aktivitas, dan profitabilitas digunakan untuk mengukur kinerja keuangan perusahaan. Analisis tersebut menggunakan data laporan keuangan TBIG tahun 2017-2022 dan laporan keuangan TOWR sebagai pembanding. Hasil dari penelitian ini menunjukkan bahwa prospek bisnis dan kinerja keuangan TBIG cukup baik begitu juga dengan kondisi perekonomian yang bagus untuk berinvestasi saham. Namun valuasi harga saham yang dilakukan dengan metode Discounted Cash Flow menunjukkan kondisi overvalued. Keputusan yang dapat diambil adalah menjual atau tidak membeli saham tersebut. / This study aims to measure the business prospects, financial performance and stock valuation of PT. Tower Bersama Infrastructure Tbk as the basis for investment decisions through a top-down approach to fundamental analysis. Macroeconomic variables such as inflation, currency exchange rates, gross domestic product, and interest rates are used for economic analysis and SWOT analysis is used for industry analysis. Meanwhile, ratio analysis including liquidity, solvency, activity, and profitability ratios is used to measure the company's financial performance. The analysis uses TBIG's 2017-2022 financial report data and TOWR's financial statements as a comparison. The results of this study indicate that TBIG's business prospects and financial performance are quite good as well as good economic conditions for investing in stock. However, the stock price valuation using the Discounted Cash Flow method shows an overvalued condition. The decision that can be taken is to sell or not to buy the stock.
| Item Type: | Thesis (KTTA) |
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| Uncontrolled Keywords: | Fundamental analysis, investment, risk, valuation, financial statements, Analisis Fundamental, investasi, risiko, valuasi, laporan keuangan |
| 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: | 20 Nov 2024 01:55 |
| Last Modified: | 20 Nov 2024 01:55 |
| URI: | http://eprints.pknstan.ac.id/id/eprint/2405 |
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