| dc.contributor.author | Prasetyo, Adrian Hartanto | |
| dc.date.accessioned | 2024-01-26T04:36:32Z | |
| dc.date.available | 2024-01-26T04:36:32Z | |
| dc.date.issued | 2012 | |
| dc.identifier.uri | https://dspace.uc.ac.id/handle/123456789/7050 | |
| dc.description | The purpose of this research is to understand the financial performance ofSmooth Company based on liquidity, debt, activity, and profitability ratios. Thepopulation in this research consists of all monthly financial reports from Smoothstarting onthe first date of operation in august 2009 to January 2012, just aboutthe time when the research was completed. The number of sample that will becollected is 6 which represent 6 months, from March 2011 to August 2011. Thetechnique that will be used in collecting the sample is non-probability sampling,which is purposive sampling in which the researcher gives a certain criteria onthe collected financial report as samples. The variables in this research are theliquidity ratio (X1), leverage ratio (X2), Activity ratio (X3), and profitability ratio(X4). The approach of this research uses qualitative technique through comparingthe growth of profitability ratios between smooth company and the othercompanies as well as involvingsome financial theories and view of researcher asowner of the company which is the object of this research. The analytical resultshows that Smooth companyalreadyshows a fairly good performancein liquidity,leverage, and profitability. Only in activity, the company shows not good enoughperformance. | en_US |
| dc.description.abstract | tujuan dari penelitian ini adalah untukmengetahui kinerja keuanganperusahaan Smooth berdasarkan perbandingan antara rasio likuiditas, rasioutang, rasio aktivitas, dan rasio profitabilitas. Populasi dalam penelitian iniadalah seluruh laporan keuangan bulanan perusahaan smooth mulai dari awalberdiri pada Agustus 2009 sampai penelitian ini ditulis (Januari 2012). Jumlahsampel yang diambil sebanyak 6 yaitu laporan keuangan periode Maret 2011sampai Agustus 2011. Teknik pengambilan sampel dalam penelitian inimenggunakan metode pengambilan sampel non probabilitas, yaitupurposivesamplingdimana peneliti memberikan kriteria khusus terhadap laporan keuanganyang akan dijadikan sampel. Variabel penelitian dalam penelitian ini adalahRasioLikuiditas, RasioLeverage, Rasio Aktivias, dan Rasio Profitabilitas. Pendekatanpenelitian yang digunakan adalah pendekatan kualitatif dengan membandingkanpertumbuhan rasio profitabilitasSmoothdengan perusahaan pembanding sertamempertimbangkan beberapa teori keuangan dan pandangan penulis selakupemilik usaha yang merupakan objek dari penelitian. Hasil analisis menunjukanbahwa kinerja keuangan perusahaan smooth sudah cukup baik secara likuiditas,leverage, dan profitabilitas. Hanya tingkat aktivitas perusahaan yang menunjukankinerja yang kurang baik. | en_US |
| dc.language.iso | id | en_US |
| dc.publisher | Universitas Ciputra Surabaya | en_US |
| dc.subject | rasio likuiditas | en_US |
| dc.subject | rasio leverage | en_US |
| dc.subject | rasio aktivitas | en_US |
| dc.subject | rasio profitabilitas | en_US |
| dc.subject | kinerja keuangan | en_US |
| dc.subject | liquidity ratio | en_US |
| dc.subject | leverage ratio | en_US |
| dc.subject | activity ratio | en_US |
| dc.subject | profitability ratio | en_US |
| dc.subject | financial performance | en_US |
| dc.title | i SKRIPSI ANALISIS RASIO LIKUIDITAS, RASIO LEVERAGE , RASIO AKTIVITAS, DAN RASIO PROFITABILITAS PADA PERUSAHAAN SMOOTH DI SURABAYA | en_US |
| dc.type | Thesis | en_US |
| dc.identifier.kodeprodi | 61201 | |
| dc.identifier.nim | 10108056 | |
| dc.identifier.dosenpembimbing | Tommy Christian Efrata | |