Fakhrudin, Yusuf Taufiq (2024) Pengaruh Corporate Social Responsibility (CSR) dan Good Corporate Governance (GCG) terhadap Return Saham dengan Ukuran Perusahaan sebagai Variabel Moderasi. S1 thesis, Universitas PGRI Madiun.
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Abstract
This study aimed to test and analyze the effect of CSR and GCG towards stock returns with company size as a moderating variable. This study was conducted on manufacturing companies listed on the Indonesia Stock Exchange (IDX) for the period 2019-2022. The research method used was quantitative. The population in this study was 271 manufacturing companies listed on the Indonesia Stock Exchange (IDX). The sampling method used a purposive sampling technique so that 110 samples of manufacturing companies listed on the IDX were obtained with 440 observation data. Data analysis used multiple linear regression and moderated regression analysis (MRA) on SPSS version 23. The results of this study are: CSR and GCG have a positive effect towards stock returns. Company size does not moderate the positive effect of CSR and GCG towards stock returns. The results of this study are expected to be a reference if the company wants to obtain high returns, then it allocates funds for CSR and have effective governance through managerial ownership, especially in companies with large assets.
Item Type: | Thesis/Skripsi/Tugas Akhir (S1) |
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Kata Kunci: | CSR, GCG, Stock Return, Company Size |
Subjects: | A Social Sciences > HB Economic Theory A Social Sciences > HD Industries. Land use. Labor > HD28 Management. Industrial Management A Social Sciences > HD Industries. Land use. Labor > HD61 Risk Management A Social Sciences > HF Commerce > HF5601 Accounting A Social Sciences > HG Finance |
Divisions: | Fakultas Ekonomi dan Bisnis > Akuntansi |
Depositing User: | FAKHRUDIN TAUFIQ YUSUF |
Date Deposited: | 03 Oct 2024 03:56 |
Last Modified: | 03 Oct 2024 03:56 |
URI: | http://eprint.unipma.ac.id/id/eprint/2101 |
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