Alfani, Lerry (2014) PENGARUH DANA PIHAK KETIGA TERHADAP RENTABILITAS PERBANKAN DENGAN KREDIT YANG DISALURKAN SEBAGAI VARIABEL MODERATING PADA BANK UMUM NASIONAL YANG LISTING DI BURSA EFEK INDONESIA TAHUN 2003 - 2013. S2 thesis, Universitas Pendidikan Indonesia.
|
Text
T_MMB_1204836_Title.pdf Download (224kB) | Preview |
|
|
Text
T_MMB_1204836_Abstract.pdf Download (123kB) | Preview |
|
|
Text
T_MMB_1204836_Table_of_content.pdf Download (69kB) | Preview |
|
|
Text
T_MMB_1204836_Chapter1.pdf Download (430kB) | Preview |
|
Text
T_MMB_1204836_Chapter2.pdf Restricted to Staf Perpustakaan Download (222kB) |
||
|
Text
T_MMB_1204836_Chapter3.pdf Download (171kB) | Preview |
|
Text
T_MMB_1204836_Chapter4.pdf Restricted to Staf Perpustakaan Download (782kB) |
||
|
Text
T_MMB_1204836_Chapter5.pdf Download (62kB) | Preview |
|
|
Text
T_MMB_1204836_Bibliography.pdf Download (146kB) | Preview |
|
|
Text
T_MMB_1204836_Appendix.pdf Download (752kB) | Preview |
Abstract
Penelitian ini bertujuan untuk mengetahui pengaruh dana pihak ketiga terhadap rentabilitas dengan kredit yang disalurkan sebagai variabel moderating. Konsep empiris yang digunakan oleh masing-masing variabel yaitu dana pihak ketiga menggunakan total dana pihak ketiga (giro, deposito, dan tabungan), kredit yang disalurkan menggunakan nilai loan to deposit ratio serta rentabilitas menggunakan nilai net interest margin. Metode yang digunakan dalam penelitian ini adalah metode deskriptif dan kuantitatif dengan menggunakan alat analisis moderate regresion analysis (MRA). Hasil yang diperoleh dalam penelitian ini menunjukan bahwa dana pihak ketiga tidak memiliki pengaruh terhadap rentabilitas bank umum nasional periode tahun 2003-2013, interaksi dana pihak ketiga dan kredit yang disalurkan memiliki pengaruh terhadap rentabilitas industri perbankan nasionalperiodetahun 2003-2013. Kata Kunci: Dana Pihak Ketiga, Kredit, Rentabilitas, Net Interest Margin, Moderated Regression Analysis This study aims to determine the effect of third-party funds to rentability with credit as a moderating variable. Empirical concept used by each variable that is third party fund using equal of third-party funds (giro, deposits, savings),credit using loan to deposit ratio and for rentabilityusing net interest margin. The method used in this study is descriptive and quantitative method, for quantitative using the analytical tools which is Moderate Regresion Analysis (MRA). The results obtained in this study that the third-party funds doesn’t have effect on the rentability of national commercial banks in the period of 2003-2013, interaction of third-party funds and credits that have effect on the rentabilityof national banks in the period of 2003-2013. Keywords : Third-party Funds, Credit, Rentability, Net Interest Margin, Moderated Regression Analysis
Item Type: | Thesis (S2) |
---|---|
Additional Information: | No. Panggil : S MMB ALF p-2014; Pembimbing : I. Nugraha, II. Ika Putera Waspada |
Uncontrolled Keywords: | Dana Pihak Ketiga, Kredit, Rentabilitas, Net Interest Margin, Moderated Regression Analysis |
Subjects: | H Social Sciences > HD Industries. Land use. Labor H Social Sciences > HD Industries. Land use. Labor > HD28 Management. Industrial Management |
Divisions: | Sekolah Pasca Sarjana > Magister Manajemen Bisnis |
Depositing User: | DAM staf |
Date Deposited: | 16 Sep 2015 02:20 |
Last Modified: | 16 Sep 2015 02:20 |
URI: | http://repository.upi.edu/id/eprint/16562 |
Actions (login required)
View Item |