Performance of Telekom Malaysia Berhad company in Malaysia / Nurulhuda Hashim
The objectives of this study to determine the relationships between independent variables such as debt ratio, net profit margin and current ratio with the dependent variable is return on assets of Telekom Malaysia Berhad ™ Company in Malaysia. This study incorporates a time series dataset ranging fr...
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Main Author: | |
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Format: | Thesis |
Language: | English |
Published: |
2013
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Subjects: | |
Online Access: | https://ir.uitm.edu.my/id/eprint/92765/1/92765.pdf |
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Summary: | The objectives of this study to determine the relationships between independent variables such as debt ratio, net profit margin and current ratio with the dependent variable is return on assets of Telekom Malaysia Berhad ™ Company in Malaysia. This study incorporates a time series dataset ranging from 1979 to 2011.The identified model hypothesizes ROA as a function of debt ratio (DR), net profit margin (NPM), and current ratio (CR). This research is using Stata Time Series software to run the data that gain from Osiris website with 33 vears of duration. The result shows that the DR, NPM and CR have a relationship towards ROA. In the long run cointegrating relationship, there are four cointegrating relationship. In future, the other researchers should consider and choose other variables for the research about this topic that will give the real impact to the company performance. |
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