DETAIL KOLEKSI

Kinerja keuangan pada PT. Pembangunan Jaya Ancol, Tbk

5.0


Oleh : Nivan Andrian Rojihah

Info Katalog

Penerbit : FEB - Usakti

Kota Terbit : Jakarta

Tahun Terbit : 2011

Pembimbing 1 : Anita Roosmalina Matusin

Subyek : Recreation industry - statistics;corporations - finance

Kata Kunci : financial performance, liquidity ratios, activity ratios, debt ratios, profitability ratios, market

Status Posting : Published

Status : Lengkap


File Repositori
No. Nama File Hal. Link
1. 2011_TA_MJ_022080814_7.pdf
2. 2011_TA_MJ_022080814_6.pdf
3. 2011_TA_MJ_022080814_5.pdf
4. 2011_TA_MJ_022080814_4.pdf
5. 2011_TA_MJ_022080814_3.pdf
6. 2011_TA_MJ_022080814_2.pdf
7. 2010_TA_MJ_022080814_1.pdf

L Laporan hasil magang ini bertujuan untuk mengetahui kinerja keuangan PT. Pembangunan Jaya Ancol, Tbk selama Periode 2005 - 2009. dimana kinerja keuangan PT. Pembangunan Jaya Ancol,Tbk diwakili dengan analisis rasio keuangan yaitu, liquidity ratios, activity ratios, debt ratios, profitability ratios, dan market ratios. Hasil analisis menunjukkan bahwa kinerja PT. Pembangunan Jaya Ancol,Tbk selama periode 2005 - 2009 adalah baik. Terbukti dengan hasil yang diperoleh menunjukkan tingkat likuiditas baik mengalami peningkatan, aktivitas perusahaan cukup baik dalam memnafaatkan assetnya, debt ratio cukup baik dalam melunasi hutangnya, profitabilitas perusahaan mengalami penurunan tetapi masih tetap menghasilkan laba, dan market rasio mengalami kestabilan kinerja saham perusahaan meskipun mengalami penurunan pada tahun 2008- 2009 terjadi adanya krisis global.

T The purpose of this intenship report is to identify the fmancial performance in PT. Pembangunan Jaya Ancol,Thk during 2005 -2009. Financial performance in PT. Pembangunan Jaya Ancol,Tbk is represented by financial ratio analysis, that is the liquidity ratios, activity ratios, debt ratios, profitability ratios, and market ratios. The result showed that the performance in PT. Pembangunan Jaya Ancol,Tbk during 2005 - 2009 is good. Demonstrated by the results obtained show a high level of liquidity has increased, the activity ratio of the company in the use of good enough asset, the debt ratio is enough to repay their debts, profitability of enterprises has decreased but continues generating profits and the stability of the market ratio related experience despite the actions of the company performance has declined in the years 2008- 2009 was the global crisis.

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