Reference journals have several different writing arrangements. In the reference journal, there is some information or words needed in making scientific journals. With this information or word retrieval system, it can help to find journals that match the similarities between input and information or words in the journal that will be used as a reference. In this study, the input process of equations and information or words will be processed using the Winnowing algorithm as an algorithm that can find the similarity of words or texts with N-gram functions, rolling hash, and Jaccard Coefficient. In general, the search only uses the same words or text without any weighting on the composition of the reference journal. To be able to find journals and their level of importance in the order of journals, a weighting method is needed. This study also uses the Simple Additive Weighting (SAW) method as a process to determine the value of the order of urgency in journals so that it can provide results in the form of rankings based on searches and urgency weights in reference journals. The results of the similarity query with documents obtained 60% precision, 77% recall, and 81% accuracy, documents, and documents had 41% precision, 83% recall, and 66% accuracy. using Winnowing Algorithm, the search system can detect the similarity of text.
The purpose of this study was to determine the relationship between asset structure and financial structure with financial performance as seen from the financial performance of PT. Garuda Indonesia. This type of research is associative research, namely research that connects two or more variables. The data used is secondary data in the form of financial statements of PT. Garuda Indonesia for the 2016-2020 period. The research method used is the Pearson correlation analysis method and hypothesis testing is done by testing the significance. The results showed that the asset structure and financial structure had a negative and significant relationship with the financial performance of PT. Garuda Indonesia. Based on these results obtained the value of the correlation coefficient (r) asset structure with the financial performance of PT. Garuda Indonesia is -0.957 indicating that the asset structure has a negative relationship (not direct) and has a high (r) correlation (-0.957 close to -1) with financial performance. And the financial structure with financial performance is at the value of PT. Garuda Indonesia is -0.257 indicating that the financial structure has a negative relationship (not direct) and has a high (r) correlation (-0.257 close to -1) with financial performance.
This research was conducted to examine the correlate of Risk Profile (Non Performing Financing (NPF) and Financing Deposite Ratio (FDR) to Return on Asset (ROA).This research uses quantitatif method. The population of this research is the financial report Panin Dubai Syariah bank period 2016 through 2020. Sensus sampling method were used as samples determining, whre all the population is sampled. Analysis method with correlation pearson. The result of the research is Non Performing Financing/NPF has negative correlated and significant with Return on Asset (ROA) and Financing Deposite Ratio (FDR) has negative correlated and significant with Return on Asset (ROA). The implication of this research is that the poor NPF and FDR of Panin Dubai Syariah Bank have an impact on the company's ability to generate profits. High NPF and FDR lead to a decrease in ROA. For this reason, Panin Dubai Syariah Bank needs to maintain NPF and FDR in accordance with the minimum standards set by Bank Indonesia
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