Optimal Portfolio Analysis with Solver Application in Wetland Plantation Subsector

Ali Sadikin, Fahmi Roy, Dalimunthe, Nadia Zulfati Fairuz, Dina Nugraheni
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Abstract

Investments made by investors should submit to a Markowitz portfolio, where the goal is to get an optimal portfolio investment from several existing stocks. The goal of a portfolio is to maximize stock returns and minimize risk. The object of this study is plantation sub-sector companies listed on the IDX for the 2018-2022 period. The population is 19 companies in the plantation sub-sector, while the sampling method is 6 companies using purposive sampling. Through this research, investors are expected to be able to see which stock portfolio is the most optimal of several efficient portfolios in the agricultural sector. In addition, the plantation sub-sector supports government programs on food security for industry and consumers and increases non-oil and gas income, and increases the income of all relevant stakeholders, which in turn can increase the income and welfare of the Indonesian people.  
基于求解器的最优组合分析在湿地人工林子部门中的应用
投资者的投资应该服从马科维茨投资组合,其目标是从几只现有股票中获得最佳投资组合。投资组合的目标是使股票收益最大化,使风险最小化。本研究的对象是2018-2022年期间在IDX上市的种植子行业公司。人口为种植分部门的19家公司,抽样方法为6家公司,采用有目的抽样。通过本研究,投资者期望能够看到在农业部门的几个有效投资组合中,哪一个股票投资组合是最优的。此外,种植园分部门支持政府的工业和消费者食品安全计划,增加非石油和天然气收入,并增加所有相关利益相关者的收入,从而增加印度尼西亚人民的收入和福利。
本文章由计算机程序翻译,如有差异,请以英文原文为准。
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