2013
DOI: 10.35799/dc.2.2.2013.3434
|View full text |Cite
|
Sign up to set email alerts
|

Analisis Portofolio dalam Investasi Saham Pada Pasar Modal

Abstract: Investors who invest in shares in the capital market would consider two things: the level of profit and loss or risk level. Expected return is the return expected by investors in the future and are uncertain (uncertainty). Return expectations and risk level has a positive relationship. The greater the risk of a security, the greater the expected benefits, and the smaller the risk of the securities, the smaller the profits. Investors would want a high profit and low risk, but it is not likely to happen for sure… Show more

Help me understand this report

Search citation statements

Order By: Relevance

Paper Sections

Select...
1
1
1

Citation Types

0
2
0
1

Year Published

2020
2020
2021
2021

Publication Types

Select...
3

Relationship

0
3

Authors

Journals

citations
Cited by 3 publications
(3 citation statements)
references
References 0 publications
0
2
0
1
Order By: Relevance
“…Indofood Sukses Makmur CBP Tbk has good performance, good finances, and several good strategies that have been realized. In the Table 2 Variable Data which produces (Tjolleng & Manurung, 2013). Thus, the strategy that can be carried out by the company in this case is so that the company continues to run well, gets a lot of profit, has good performance, has good and stable finances, gets a good assessment from the public and investors, and provides benefits for investors and investors.…”
Section: Discussionmentioning
confidence: 99%
“…Indofood Sukses Makmur CBP Tbk has good performance, good finances, and several good strategies that have been realized. In the Table 2 Variable Data which produces (Tjolleng & Manurung, 2013). Thus, the strategy that can be carried out by the company in this case is so that the company continues to run well, gets a lot of profit, has good performance, has good and stable finances, gets a good assessment from the public and investors, and provides benefits for investors and investors.…”
Section: Discussionmentioning
confidence: 99%
“…Salah satu cara untuk meminimalkan resiko adalah dengan membentuk portofolio. Teori portofolio merupakan teori yang berkaitan dengan keputusan investor terhadap pengembalian return yang diharapkan dan resiko yang dapat diterima (Tjolleng & Manurung, 2013). Teori Portofolio Markowits seterusnya dikembangkan oleh Sharpe yang dikenal dengan Single Index Model yang menggambarkan adanya hubungan linear actual dari sekuritas yang dipengaruhi oleh factor umum yang bersifat makro ekonomi.…”
Section: Teori Portfoliounclassified
“…In the context of investment management, there is a return (expected return) and the actual return. Return expectations are anticipated level of return investors in the future, while the actual return is the rate of return has been obtained by investors in the past (Tjolleng and Manurung, 2013) Return on Investment (ROI). (Shimizu, 2017) Return on Investment as a measure of the ability of the company's overall profit for a total amount of assets available in the company.…”
Section: Stockmentioning
confidence: 99%