证券投资风险下的望加锡投资者行为

Rosnani Said
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引用次数: 1

摘要

本研究的目的是利用人口统计学方法了解投资者对股票投资组合风险的行为。本研究采用实地调查的方式,对在望加锡地区某证券公司注册的股票投资者进行问卷调查。其结果是投资者在望加锡的投资风险行为对股票作为投资组合的风险是中性的。
本文章由计算机程序翻译,如有差异,请以英文原文为准。
Investor's Behavior in Makassar Against Portfolio Investment Risk the Stock
The objective of this research is to know investor behavior toward investment risk in a stock portfolio by using demography approach. The type of this research is field research by using questionnaires to stock investors registered at a security company in the Makassar area. The result is investors' behavior in Makassar against investment risk is neutral to the risk of stocks being a portfolio.
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