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DAFTAR ISI

ABSTRAK ................................................................................................. i
PERNYATAAN ......................................................................................... iii
KATA PENGANTAR ............................................................................... iv
DAFTAR ISI .............................................................................................. vi
DAFTAR TABEL .....................................................................................
DAFTAR GAMBAR .................................................................................
BAB. I PENDAHULUAN ......................................................................... 1
1.1 Latar Belakang Penelitian ..................................................................... 1
1.2 Perumusan Masalah .............................................................................. 10
1.3 Tujuan Dan Manfaat Penelitian ............................................................ 11
1.3.1 Tujuan Penelitian ................................................................. 11
1.3.2 Manfaat Penelitian ............................................................... 12
1.4 Sistematika Penulisan ........................................................................... 13

BAB II TELAAH PUSTAKA, KERANGKA PEMIKIRANDAN HIPOTESIS


..................................................................................................................... 14
2.1 Telaah Pustaka ...................................................................................... 14
2.1.1 Teori Agensi ......................................................................... 14
2.1.2 Good Corporate Governance ............................................... 16
2.1.3 Financial Distress ................................................................ 24
2.1.4 Penelitian Terdahulu ............................................................ 34
2.2 Kerangka Pemikiran ............................................................................ 40
2.2.1 Pengaruh Kepemilikan Manajerial terhadap prediksi Financial
Distress ........................................................................................ 40
2.2.2 Pengaruh Kepemilikan Institusional terhadap prediksi
Financial Distress ......................................................................... 41
2.2.3 Pengaruh ukuran Komisaris Independen terhadap prediksi
Financial Distress ......................................................................... 41
2.2.4 Pengaruh ukuran Dewan Direksi terhadap prediksi Financial
Distress ........................................................................................ 42
2.2.5 Pengaruh Ukuran Komite Audit terhadap prediksi Financial
Distress ........................................................................................ 42
2.3 Hipotesis................................................................................................ 44

BAB III METODE PENELITIAN .......................................................... 45


3.1 Objek Penelitian .................................................................................... 45
3.2 Populasi Dan Sampel ............................................................................ 45
3.2.1 Populasi ................................................................................ 45
3.2.2 Sampel.................................................................................. 45
3.3 Teknik Pengambilan Sampel................................................................. 46
3.4 Jenis Dan Sumber Data ......................................................................... 49
3.4.1 Jenis Data ............................................................................. 49
3.4.2 Sumber Data......................................................................... 49
3.5 Teknik Pengumpulan Data .................................................................... 49
3.6 Identifikasi Dan Operasionalisasi Variabel ........................................... 50
3.6.1 Variabel Dependen : Financial distress (FD) ...................... 50
3.6.2 Variabel Independen ............................................................ 51
3.7 Analisis Data ......................................................................................... 55
3.7.1 Analisis Statistik Deskriptif............................................................ 55
3.7.2 Uji Regresi Logit binary ..................................................... 55
3.7.3 Pengukuran Probabilitas dalam Metode Logit ..................... 56
3.7.4 Pengujian Signifikansi Model dan Parameter ...................... 57
3.7.5 Pengujian Hipotesis menggunakan Z-statistik .................... 58
3.7.5.1 Uji parsial ................................................................ 58

BAB IV GAMBARAN UMUM PERUSAHAAN ................................... 59


4.1 PT Perdana Karya Perkasa Tbk............................................................. 59
4.2 PT Golden Eagle Energy Tbk ............................................................... 60
4.3 PT Ratu Prabu Energi Tbk .................................................................... 62
4.4 PT Elnusa Tbk ....................................................................................... 63
4.5 PT Radiant Utama Interinsco Tbk......................................................... 66
4.6 PT Citatah Tbk ..................................................................................... 67
4.7 PT Timah (Persero) Tbk........................................................................ 70
4.8 PT Cita Mineral Investindo Tbk .......................................................... 72
4.9 PT Cakra Mineral Tbk .......................................................................... 73
4.10 PT Central Omega Resources Tbk ...................................................... 74
4.11 PT Aneka Tambang (Persero) Tbk ..................................................... 76
4.12 PT Mitra Investindo Tbk .................................................................... 77

BAB V HASIL PENELITIAN DAN PEMBAHASAN ......................... 80


5.1. Hasil Penelitian .................................................................................... 80
5.1.1 Statistik Deskriptif ............................................................ 80
5.1.2 uji regresi logistik binary .................................................. 82
5.1.2 Pengukuran Probabilitas dalam Metode logit .................. 86
5.1.4 Pengujian Signifikansi Model dan Parameter ................... 88
5.1.5 Hasil Uji Hipotesis ............................................................ 91
5.2 Pembahasan .......................................................................................... 93
5.2.1 Pengaruh Kepemilikan Manajerial Terhadap Prediksi
Financial Distress ......................................................................... 93
5.2.2 Pengaruh Kepemilikan Institusional Terhadap Prediksi
Financial Distress ......................................................................... 93
5.2.3 Pengaruh Ukuran Dewan Direksi Terhadap Prediksi
Financial Distress ......................................................................... 94
5.2.4 Pengaruh Ukuran Dewan Komisaris Independen
Terhadap Prediksi Financial Distress ........................................... 95
5.2.5 Pengaruh Ukuran Komite Audit Terhadap Prediksi
Financial Distress ......................................................................... 96

BAB VI KESIMPULAN DAN SARAN .................................................. 97


Kesimpulan ................................................................................................. 97
Saran ............................................................................................................ 97

DAFTAR PUSTAKA
BIOGRAFI PENULIS

LAMPIRAN
DAFTAR TABEL

Tabel 1.1 Fenomenal Kesulitan Keuangan Sektor Pertambangan


2013/2017.................................................................................................... 4
Tabel 2.1 Indikator Finacial Distrees .......................................................... 27
Tabel 2.2 Faktor-Faktor Yang Mempengaruhi Financial Distrees ............. 29
Tabel 2.3 Penelitian Terdahulu ................................................................... 36
Tabel 3.1 Kriteria Sampel ........................................................................... 46
Tabel 3.2 Daftar Perusahaan Pertambangan Yang Terdaftar Di Bei
2013/2017.................................................................................................... 47
Tabel 3.3 Daftar Sampel Perusahaan Pertambangan Yang Terdaftar Di Bei
2013/2017.................................................................................................... 48
Tabel 3.4 Identifikasi Dan Operasionalisasi Variable................................. 53
Tabel 5.1 Hasil Uji Statistik Deskriptif ....................................................... 80
Tabel 5.2 Hasil Uji Regresi Logistik Binary............................................... 82
Tabel 5.3 Hasil Uji Exponencial ................................................................. 86
TABEL GAMBAR

Gambar 2.4 Kerangka Pemikiran ................................................................ 43


BIOGRAFI PENULIS

Penulis bernama NOVITA DEWI. Penulis dilahirkan disebuah KOTA

PEKANBARU pada tanggal 05 SSeptember 1995. Ayah penulis bernama SUROSO

dan Ibu bernama SUKIYEM. Penulis merupakan anak pertama dari dua (2)

bersaudara. Penulis memiliki 1 orang saudara laki-laki yang bernama ADE JULIAN

SAPUTRA.

Penulis mengenyam pendidikan dasar pertama kali di SD NEGERI 035

PEKANBARU pada tahun 2002 dan lulus pada tahun 2008. Kemudian penulis

melanjutkan pendidikan menengah pertama di MTS SWASTA BUSTANUL ULUM

dan lulus pada tahun 2011. Selanjutnya penulis meneruskan pendidikan menengah

atas di SMK SWASTA IBNU TAIMIYAH dan lulus pada tahun 2014. Dan pada

tahun 2014, penulis melanjutkan pendidikan dan diterima di Universitas LANCANG

KUNING PEKANBARU dengan mengambil Program Studi Sarjana Ekonomi.

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