KINERJA KEUANGAN SEBELUM DAN SESUDAH PENERAPAN GOOD CORPORATE GOVERNANCE PADA PT. BANK MANDIRI, TBK MELALUI RASIO SOLVABILITAS, RENTABILITAS, DAN LIKUIDITAS

Zulfikar Ripda Ramadhan

Abstract


This study aims to determine the condition of the financial performance. Bank Mandiri
Tbk . Before and after the implementation of GCG through solvency ratios , profitability , and
liquidity , as well as to test and analyze the significant difference level financial performance.
Bank Mandiri Tbk . By using the ratio Adequency Capital Ratio , Return on Assets , Return on
Equity , Net Profit Margin , and the loan to deposit ratio before and after the implementation
of GCG .  This type of research is explanatory research , the research object PT . Bank
Mandiri Tbk . Methods of data collection methods through archives of the financial
statements. Bank Mandiri Tbk . During the period 2002-2011 , published by the Indonesia
Stock Exchange . The results of the measurement of financial performance in the test then
using Paired Samples T -test .
The results of this study showed that an increase in the company's financial
performance after the implementation of GCG seen through the profitability ratio , whereas
when seen through the solvency ratio and liquidity found a decrease in the company's
financial performance after applying GCG . If the results of Paired Samples T -test , there are
significant differences in the CAR and LDR in the period before and after implementation of
GCG , while the ROA , ROE , and NPM found no significant differences .

Keywords : Good Corporate Governance , Capital Adequency Ratio ( CAR ) , Return on
Assets ( ROA ) , Return on Equity ( ROE ) , Net Profit Margin ( NPM ) , Loan to Deposit
Ratio ( LDR ) .

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