ANALISIS RISIKO DAN PENGEMBALIAN DALAM INVESTASI SAHAM STUDI KASUS PADA SUB SEKTOR FOOD AND BEVERAGES DAN TABACCO MANUFACTURE PERIODE 2019-2022

Ely Apriani, M. Ikhwan Maulana Haeruddin, Anwar Rauf, Muhammad Ichwan Musa, Andi Mustika Amin
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Abstract

This study aims to classify the value of shares that have high or low risk and return in stock investment in each company using the Capital Asset Pricing Model (CAPM) method so that it is easier for investors to make the right investment decisions in the Food and Beverages and Tabacco Manufacture sub-sectors. 2019-2022. The population in this research is shares in the Food and Beverages sub-sector and Tabacco Manufacture for the 2019-2022 period using a purposive sampling technique. Data collection techniques using documentation and literature study. The data analysis used in this study is data processing in the Microsoft Excel 2016 application program to classify investment decisions using the Capital Asset Pricing (CAPM) method. The results of the study show that the analysis of stock diversification using the Capital Asset Pricing Model shows that the food and beverages sub-sector has 20 samples and the Tabacco Manufacture sub-sector has 3 consistent stock samples during the 2019-2022 period. After analyzing the data, the results obtained in the Food and Beverages Sub Sector have 20 companies, there are 17 stocks that are classified as linear between risk and return, namely: AISA, ALTO, CEKA, CLEO, DLTA, GOOD, HOKI, ICBP, INDF, MLBI, MYOR, PSDN, BREAD, SKBM, SKLT, STTP, and ULTJ. Meanwhile, in the Tabacco Manufacture sub-sector, which has 3 companies, there are 2 stocks that are classified as linear between risk and return, namely: GGRM and RMBA.
2011 -2022年期间,子食品和白酒生产行业个案研究的风险分析和回报
本研究旨在利用资本资产定价模型(CAPM)方法对每家公司股票投资中具有高风险或低风险和回报的股票价值进行分类,以便投资者更容易在食品饮料和烟草制造子行业中做出正确的投资决策。2019 - 2022。本研究中的人口是2019-2022年期间食品和饮料分行业和烟草制造的份额,采用有目的的抽样技术。使用文献和文献研究的数据收集技术。本研究使用的数据分析是在Microsoft Excel 2016应用程序中进行数据处理,使用资本资产定价(CAPM)方法对投资决策进行分类。研究结果表明,利用资本资产定价模型进行股票多元化分析发现,2019-2022年期间,食品饮料细分行业有20个样本,烟草制造细分行业有3个一致的股票样本。经过数据分析,得到的结果是食品饮料板块有20家公司,其中风险与收益呈线性关系的股票有17只,分别是:AISA、ALTO、CEKA、CLEO、DLTA、GOOD、HOKI、ICBP、INDF、MLBI、MYOR、PSDN、BREAD、SKBM、SKLT、STTP、ULTJ。同时,在烟草制造板块中,有3家公司,有2只股票的风险与收益呈线性关系,分别是:GGRM和RMBA。
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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