<mets:mets OBJID="eprint_77255" LABEL="Eprints Item" xsi:schemaLocation="http://www.loc.gov/METS/ http://www.loc.gov/standards/mets/mets.xsd http://www.loc.gov/mods/v3 http://www.loc.gov/standards/mods/v3/mods-3-3.xsd" xmlns:mets="http://www.loc.gov/METS/" xmlns:mods="http://www.loc.gov/mods/v3" xmlns:xlink="http://www.w3.org/1999/xlink" xmlns:xsi="http://www.w3.org/2001/XMLSchema-instance"><mets:metsHdr CREATEDATE="2026-07-05T22:57:35Z"><mets:agent ROLE="CUSTODIAN" TYPE="ORGANIZATION"><mets:name>Institutional Repository UIN Sunan Kalijaga Yogyakarta</mets:name></mets:agent></mets:metsHdr><mets:dmdSec ID="DMD_eprint_77255_mods"><mets:mdWrap MDTYPE="MODS"><mets:xmlData><mods:titleInfo><mods:title>PENGARUH LIKUIDITAS, STRUKTUR MODAL, DAN TATA KELOLA PERUSAHAAN TERHADAP FINANCIAL DISTRESS PADA PERUSAHAAN SEKTOR INFRASTRUKTUR YANG TERDAFTAR DI BURSA EFEK INDONESIA (BEI)</mods:title></mods:titleInfo><mods:name type="personal"><mods:namePart type="given">NIM.: 22108040056</mods:namePart><mods:namePart type="family">Nafi' Sofiyatul Muhtar</mods:namePart><mods:role><mods:roleTerm type="text">author</mods:roleTerm></mods:role></mods:name><mods:abstract>Penelitian ini bertujuan untuk menguji pengaruh likuiditas yang diproksikan dengan Current Ratio (CR), struktur modal yang diukur melalui Debt to Equity Ratio (DER), serta mekanisme tata kelola perusahaan yang dilihat dari kepemilikan institusional dan manajerial terhadap financial distress dengan menggunakan model Zmijewski sebagai alat ukur. Ukuran perusahaan dan rasio profitabilitas turut dimasukkan sebagai variabel kontrol. Objek penelitian difokuskan pada perusahaan sektor infrastruktur yang tercatat di Bursa Efek Indonesia (BEI) selama periode 2020–2024. Dengan pendekatan kuantitatif yang bersifat kausal dan teknik purposive sampling, diperoleh sebanyak 249 data observasi bersifat unbalance dari 57 perusahaan. Hasil pengujian regresi data panel menunjukkan bahwa Random Effect Model merupakan model yang paling sesuai untuk digunakan dalam penelitian ini. Temuan riset menunjukkan bahwa tingkat likuiditas, struktur modal dan variabel control profitabilitas secara signifikan mampu menekan risiko financial distress, sedangkan struktur modal, mekanisme tata kelola, dan variabel kontrol ukuran perusahaan tidak menunjukkan pengaruh yang nyata.&#13;
Kata kunci: Financial Distress, Likuiditas, Struktur Modal, Tata Kelola Perusahaan, Model Zmijewski, Infrastruktur.</mods:abstract><mods:classification authority="lcc">Akuntansi Syari'ah</mods:classification><mods:originInfo><mods:dateIssued encoding="iso8061">2026-03-09</mods:dateIssued></mods:originInfo><mods:originInfo><mods:publisher>UIN SUNAN KALIJAGA YOGYAKARTA;FAKULTAS EKONOMI DAN BISNIS ISLAM</mods:publisher></mods:originInfo><mods:genre>Thesis</mods:genre></mets:xmlData></mets:mdWrap></mets:dmdSec><mets:amdSec ID="TMD_eprint_77255"><mets:rightsMD ID="rights_eprint_77255_mods"><mets:mdWrap MDTYPE="MODS"><mets:xmlData><mods:useAndReproduction>
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