Hasil Perhitungan Ratio di Microsoft Excel
LAMPIRAN I DAFTAR SAMPEL PENELITIAN
Pertambangan
9 PT Bank Rakyat Indonesia (Persero) Tbk √
√ X Perbankan
10 PT Bank Mandiri (Persero) Tbk √ √ X
Perbankan
11 PT Aneka Tambang (ANTAM) Tbk √
√ √ Pertambangan
12 PT Timah (Persero) Tbk √ √ √
13 PT Semen Gresik (Persero) Tbk √
8 PT Bank Negara Indonesia Tbk √ √ X
√ √ Pertambangan
14 PT Jasa Marga (Persero) Tbk √ √ √
Prasarana angkutan
15 PT Telekomunikasi Indonesia, Tbk (TELKOM) √
√ √ Telekomunikasi
16 PT Garuda Indonesia Tbk (GIA) (Persero) √ √ √
Sarana Angkutan
Perbankan
Konstruksi
1
3 PT Perusahaan Gas Negara (PGN) Tbk √ √ √
2
3
1 PT Indofarma (Persero) Tbk √
X √
Aneka Industri
2 PT Kimia Farma (Persero) Tbk √
√ √ Aneka Industri
Energi
7 PT Wijaya Karya (Persero) Tbk √ √ √
4 PT Tambang Batubara Bukit Asam (Persero) √
√ √ Energi
5 PT Krakatau Steel (KS) Tbk √
X √
Industri Strategis
6 PT Adhi Karya (Persero) Tbk √
√ √ Konstruksi
No. PERUSAHAAN KRITERIA KLASIFIKASI
LAMPIRAN 2 Hasil Perhitungan Ratio di Microsoft Excel
EMITEN Firm
Performance (Y)
IOS (X1) Growth
IOS 1
IOS 2
IOS 3 Gw 1 Gw 2 Gw 3
KDK
1
2
3 ADHI 0.012 0.183 0.772 (0.016) 0.335 (0.270) (0.920) 0.400 0.021 0.098 0.730 (0.006) 0.162 1.031 (0.924) 0.400 0.033 (0.125) 0.868 (0.009) (0.264) 0.145 (0.871) 0.400 0.027 0.241 0.913 (0.001) 0.180 (0.036) (0.871) 0.400
ANTM 0.143 0.149 1.068 (0.035) (0.201) (0.733) (0.088) 0.400 0.069 0.030 1.141 (0.047) (0.092) (0.558) (0.074) 0.400 0.047 0.008 1.599 (0.030) (0.281) (0.516) 0.300 0.500 0.186 0.517 1.469 (0.106) 0.651 5.587 (0.242) 0.333
GIAA 0.035 0.277 0.674 (0.091) 0.366 10.123 (1.118) 0.000 0.057 0.133 0.829 (0.108) (0.079) 0.522 (0.986) 0.000 0.026 (0.077) 0.700 (0.069) 0.094 (0.494) (0.835) 0.200 0.030 0.318 0.663 (0.124) 0.391 0.569 (0.873) 0.200
JSMR 0.211 0.057 4.366 (0.080) 0.268 1.546 0.782 0.333 0.269 0.105 4.381 (0.067) 0.101 0.403 0.780 0.333 0.273 0.172 4.328 (0.094) 0.186 0.202 0.641 0.333 0.266 0.131 4.321 (0.104) 0.133 0.105 0.560 0.333
KAEF 0.020 0.042 0.534 (0.018) 0.143 0.061 (0.664) 0.600 0.022 0.081 0.548 (0.047) 0.055 0.128 (0.668) 0.600 0.044 0.061 0.521 (0.008) 0.116 1.219 (0.687) 0.400 0.049 0.083 0.515 (0.030) 0.093 0.238 (0.680) 0.400
PGAS 0.050 0.250 1.997 (0.048) 0.454 (0.456) (0.536) 0.400 0.346 0.122 1.591 (0.064) 0.409 8.827 (0.607) 0.400 0.316 0.119 1.623 (0.043) 0.097 0.002 (0.406) 0.400
0.313 (0.035) 1.583 (0.037) (0.010) (0.019) (0.291) 0.400 PTBA 0.237 0.535 0.846 (0.070) 0.750 1.352 (0.629) 0.400
0.305 0.323 0.903 (0.008) 0.240 0.597 (0.553) 0.400 0.254 0.080 1.103 (0.092) (0.116) (0.264) (0.279) 0.400 0.292 0.319 1.087 (0.044) 0.338 0.537 (0.398) 0.000
SMGR 0.207 0.245 0.868 (0.050) 0.272 0.421 (0.457) 0.333 0.231 0.221 0.900 (0.258) 0.178 0.318 (0.439) 0.333 0.253 0.202 1.085 (0.109) (0.003) 0.092 (0.289) 0.333 0.241 0.263 1.200 0.218 0.142 0.089 (0.267) 0.333
TINS 0.148 0.411 0.639 (0.106) 3.870 1.566 (0.780) 0.400 0.041 (0.161) 0.630 (0.136) (0.148) (0.766) (0.504) 0.500 0.114 0.211 0.705 (0.022) 0.082 2.021 (0.589) 0.500 0.102 0.117 0.751 (0.064) 0.049 (0.054) (0.520) 0.000
TLKM 0.175 0.112 1.504 (0.181) 0.021 (0.174) (0.444) 0.400 0.175 0.069 1.510 (0.224) 0.064 0.067 (0.469) 0.400 0.168 0.023 1.454 (0.166) 0.062 0.018 (0.432) 0.400 0.217 0.033 1.446 (0.141) 0.038 0.341 (0.377) 0.400
WIKA 0.024 0.396 0.880 (0.021) 0.531 0.208 (0.803) 0.400 0.029 (0.012) 0.865 (0.037) 0.005 0.213 (0.790) 0.400 0.047 0.103 1.044 (0.066) (0.086) 0.506 (0.745) 0.400 0.050 0.324 1.075 (0.098) 0.285 0.372 (0.767) 0.333
LAMPIRAN 3 Analisis Deskriptif Descriptive Statistics Descriptive Statistics N Minimum Maximum Mean Std. Deviation FP
44 .012 .346 .14035 .107563 PTAK 44 -.161 .535 .14535 .160865 KAML 44 .515 4.381 1.32340 1.032238 PEINV 44 -.258 .218 -.06723 .072419 PTPJ 44 -.281 3.870 .22451 .604253 PTLB 44 -.766 10.123 .79746 2.165951 PNBE 44 -1.111 11.623 .44027 1.752280 KDK 40 .200 .600 .39075 .077039 Valid N (listwise)
40
LAMPIRAN 4
Analisis Korelasi
Nonparametric Correlations
Correlations
PTA KAM PEIN PTL PNB FP K L
V PTPJ B E KDK
Spearman's rho FP Correlation 1.000 .195 .656 -.295 .064 .168 .393 -.272 Coefficient Sig. (2-tailed) . .206 .000 .052 .682 .275 .008 .074 N
44
44
44
44
44
44
44
44
- PTAK Correlation .195 1.000 -.021 -.063 .788 .525 .521
Coefficient .388
Sig. (2-tailed) .206 . .890 .687 .000 .000 .000 .009 N
44
44
44
44
44
44
44
44
- KAML Correlation .656 -.021 1.000 -.220 -.037 .046 -.151
Coefficient .164 Sig. (2-tailed) .000 .890 . .151 .812 .287 .767 .327 N
44
44
44
44
44
44
44
44
- PEINV Correlation -.295 -.063 -.220 1.000 .010 -.128 .339
Coefficient .057 Sig. (2-tailed) .052 .687 .151 . .946 .714 .408 .024 N
44
44
44
44
44
44
44
44
PTPJ Correlation
- .064 .788 -.037 .010 1.000 .554 .408
Coefficient .302
Sig. (2-tailed) .682 .000 .812 .946 . .000 .006 .046 N
44
44
44
44
44
44
44
44
PTLB Correlation .168 .525 -.164 -.057 .554 1.00 .575 -.273 Coefficient
Sig. (2-tailed) .275 .000 .287 .714 .000 . .000 .073 N
44
44
44
44
44
44
44
44
PNBE Correlation .393 .521 .046 -.128 .408 .575 1.000 -.249
- Coefficient Sig. (2-tailed) .008 .000 .767 .408 .006 .000 . .103 N
44
44
44
44
44
44
44
44
- KDK Correlation -.272 - - -.151 .339 -.249 1
Coefficient .388 .302 .273 Sig. (2-tailed) .074 .009 .327 .024 .046 .073 .103 .
N
44
44
44
44
44
44
44
44
Lampiran 5
UJI REGRESI BERGANDA
Variables Entered/Removed Variables Variables Model Entered Removed Method
1 KDK, KAML, . Enter PTPJ, PEINV,
PTLB, PNBE,
a PTAK a. All requested variables entered. b Model Summary
Adjusted R Std. Error of the Model R R Square Square Estimate a
1 .537 .288 .150 .09918
a. Predictors: (Constant), KDK, KAML, PTPJ, PEINV, PTLB, PNBE, PTAK b. Dependent Variable: FP b ANOVA Model Sum of Squares df Mean Square F Sig. a
1 Regression .143 7 .020 2.083 .071 Residual .354 36 .010 Total .498
43
a. Predictors: (Constant), KDK, KAML, PTPJ, PEINV, PTLB, PNBE, PTAK
b. Dependent Variable: FP
Coefficients a
Model Unstandardized
Coefficients Standardized
Coefficients t Sig.
Collinearity Statistics
B Std.
Error Beta Tolerance
VIF 1 (Constant) .051 .063 .809 .424 PTAK .141 .119 .210 1.187 .243 .629 1.591 KAML .050 .015 .479 3.343 .002 .964 1.037 PEINV -.099 .215 -.067 -.461 .648 .948 1.055 PTPJ -.006 .030 -.032 -.187 .852 .687 1.455 PTLB .003 .008 .069 .443 .661 .820 1.219 PNBE -.003 .010 -.053 -.341 .735 .820 1.219 KDK -.010 .130 -.013 -.077 .939 .734 1.361
a. Dependent Variable: FP
a Coefficient Correlations
PEIN Model KDK KAML PTPJ
V PTLB PNBE PTAK
1 Correlations KDK 1.000 .051 -.149 -.086 .258 .396 .206 KAML .051 1.000 .061 .139 .029 .107 .014 PTPJ -.149 .061 1.000 .123 -.074 -.019 -.519 PEINV -.086 .139 .123 1.000 .042 .072 -.111 PTLB .258 .029 -.074 .042 1.000 .168 -.204 PNBE .396 .107 -.019 .072 .168 1.000 .009 PTAK .206 .014 -.519 -.111 -.204 .009 1.000
Covariances KDK .017 9.964 .000 -.002 .000 .000 .003 KAML 9.964 .000 2.753 .000 3.325 1.522 2.559 PTPJ .000 2.753 .001 .001 -1.729 -5.608 -.002 PEINV -.002 .000 .001 .046 6.985 .000 -.003 PTLB .000 3.325 -1.729 6.985 5.942 1.234 .000 PNBE .000 1.522 -5.608 .000 1.234 9.081 1.056 PTAK .003 2.559 -.002 -.003 .000 1.056 .014
a. Dependent Variable: FP
Collinearity Diagnostics
a Model Dimension Eigenvalue ConditionIndex Variance Proportions (Constant) PTAK KAML PEINV PTPJ PTLB PNBE KDK
1 1 4.123 1.000 .00 .01 .01 .02 .01 .01 .00 .00 2 1.140 1.902 .00 .04 .03 .02 .18 .18 .02 .00 3 .968 2.063 .00 .00 .01 .00 .01 .00 .72 .00 4 .708 2.414 .00 .01 .00 .01 .28 .62 .01 .00 5 .465 2.976 .00 .07 .02 .80 .06 .00 .03 .01 6 .293 3.754 .01 .17 .73 .05 .22 .01 .01 .02 7 .267 3.927 .01 .57 .13 .06 .21 .11 .04 .08 8 .036 10.695 .97 .13 .07 .04 .04 .06 .17 .87 a. Dependent Variable: FP
Residuals Statistics a Minimum Maximum Mean Std. Deviation N Predicted Value .0666 .2962 .1403 .05775
44 Residual -.13395 .18890 .00000 .09074
44 Std. Predicted Value -1.277 2.699 .000 1.000
44 Std. Residual -1.351 1.905 .000 .915
44
a. Dependent Variable: FP
Charts
Uji One-Sample Kollmogorov-Smirnov Test One-Sample Kolmogorov-Smirnov Test Unstandardized Residual
N
44 a,,b
Normal Parameters Mean .0000000 Std. Deviation .08332312 Most Extreme Differences Absolute .130 Positive .130
Negative -.078 Kolmogorov-Smirnov Z .860 Asymp. Sig. (2-tailed) .450 a. Test distribution is Normal.