Abstract
Financial indicators are the most important tools for tracking and analysing a company's financial performance. It aids in the comparison and study of an organization's overall financial health through the use of various financial ratios, and it may also be utilised by a variety of stakeholders to obtain insight into the firm's stock price. Many of research has been done on this topic and every researcher has different independent variables to see how it affects the share prices. The objectives of this study is to examine the relationship between financial ratios and share price in banking sector. Components under financial ratios are retum on asset, return on equity, earning per share, and price earning ratio. In order to develop a bettter and more accurate study, it is proposed the sample from 10 banks listed under Bursa Malaysia. The analysis will be based on data from the years 2010 to 2020.
Metadata
Item Type: | Thesis (Degree) |
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Creators: | Creators Email / ID Num. Wan Ahmad, Wan Nur Hazimah 2020995017 |
Contributors: | Contribution Name Email / ID Num. Thesis advisor Ali@Saip, Azman UNSPECIFIED |
Subjects: | H Social Sciences > HG Finance > Banking H Social Sciences > HG Finance > Balance sheets. Financial statements. Including corporation reports. Financial reporting. Financial disclosure |
Divisions: | Universiti Teknologi MARA, Johor > Segamat Campus > Faculty of Business and Management |
Programme: | Bachelor of Business Administration (Hons) Investment Management |
Keywords: | financial ratios; share price; banking sector |
Date: | 2022 |
URI: | https://ir.uitm.edu.my/id/eprint/104596 |
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