PENGARUH GOOD CORPORATE GOVERNANCE (GCG), CORPORATE SOCIAL RESPONSBILITY (CSR), DAN KINERJA KEUANGAN TERHADAP NILAI PERUSAHAAN PERBANKAN YANG TERDAFTAR DI BURSA EFEK INDONESIA (BEI) 2021-2023

Authors

  • Devy Septyana Putri Univeritas Mercu Buana Yogyakarta
  • Hasim As’ari Univeritas Mercu Buana Yogyakarta

DOI:

https://doi.org/10.31539/mdjraw98

Keywords:

GCG, CSR, Kinerja Keuangan, Nilai Perusahaan, Perbankan

Abstract

The purpose of this research is to examine the relationship between the value of banking businesses traded on the IDX from 2021 to 2023 and factors such Good Corporate Governance (GCG), Corporate Social Responsibility (CSR), and financial performance.  The worth of a firm is a reflection of how well investors think it has managed its resources and how much it has increased the stock price.  Improving investor confidence and fostering openness and responsibility are two of GCG's most important functions.  A company's approach to fostering positive relationships with the community and improving its reputation is known as corporate social responsibility (CSR).  How well a business manages its assets to produce profits is a key indicator of its financial performance.  A hundred financial institutions that fulfilled the study's requirements were quantitatively analysed using multiple linear regression and purposive sampling methods.  Company value is positively and significantly impacted by GCG, CSR, and financial success, and this effect is partially and simultaneously felt by all three parties.  The results of this study provide credence to the idea that investors can elevate a company's perceived worth by fostering an environment of excellent governance, social responsibility, and peak financial performance.  Banking management should use the study's conclusions as a guide when coming up with plans to sustainably boost their company's worth.

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Published

2025-10-28