ABDUL MANAP - ANALISIS PORTOFOLIO OPTIMAL PADA SAHAM PERBANKAN - JURNAL AL-BUHUTS

Manap, Abdul (2022) ABDUL MANAP - ANALISIS PORTOFOLIO OPTIMAL PADA SAHAM PERBANKAN - JURNAL AL-BUHUTS. Al - Buhuts, 18 (2). pp. 221-240. ISSN 1907-0977

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Abstract

The purpose of research is to determine how much influence the optimal portfolio according to risk and stock profit. This study uses a quantitative method with a descriptive approach, using The IDX Composite (IHSG), interest rate of Bank Indonesia Certificate (SBI), and stock price index of banking sector during August-October 2020, establishment of optimal portfolio is analyzed with single index model. The result show from 35 stocks analysed, there are 9 stocks identified as optimal portfolio with 0.3649% return and 1.0055% risk.

Item Type: Article
Subjects: H Social Sciences > HD Industries. Land use. Labor > HD28 Management. Industrial Management
Divisions: Fakultas Ekonomi dan Bisnis > S1-Manajemen
Depositing User: MR ABDUL MANAP
Date Deposited: 21 Jan 2023 03:20
Last Modified: 21 Jan 2023 03:20
URI: http://repo.jayabaya.ac.id/id/eprint/2640

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