Ulfa Zuliantika
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引用次数: 0

摘要

投资是在这个时候投入一定数量的资金,希望在未来获得利润的过程。但是,期望收益越高,风险就越高。为了使风险最小化,投资者可以形成最优投资组合。本研究的目的是确定构成最优投资组合的股票的构成和比例,确定最优投资组合的收益和风险。类型是本研究是使用二手数据的应用研究。数据是2020年8月至11月期间雅加达伊斯兰指数的股票。本研究的指标为IHSG, DJIA和HSI。采用的方法是多指标模型。本文的研究结果得到了组合2只股票作为最优投资组合,即JPFA为59.3044%,SMGR为40.696%,组合的预期收益值为4.505013%,组合风险为2.028694%。
本文章由计算机程序翻译,如有差异,请以英文原文为准。
Pembentukan Portofolio Optimal pada Saham Jakarta Islamic Index Menggunakan Model Indeks Ganda
Investment is a process of placing a number of funds at this time in the hope of making a profit in the future. But, the higher the expected return the higher the risk. To minimize the risk, investors can form optimal portfolio.The purpose of this research is to determine the composition and proportion of stocks that form the optimal portfolio and determine return and risk of optimal portfolio. The type is this research is applied research using secondary data. The data are stocks of Jakarta Islamic Index period August – November 2020. Index in this research is IHSG, DJIA and HSI. The method used is Multi Index Model. The result of this research is obtained composition 2 stocks to be made as the optimal portfolio, this is JPFA 59.3044% and SMGR 40.6956% with a value of expected return portfolio is 4.505013% and risk of portfolio is 2.028694%.
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