DWI, MEIRANI and Bakar, Samadi W. and Andriana, Isni (2007) ANALISIS RETURN DAN RISK SAHAM PERUSAHAAN INDUSTRI SEKTOR INFRASTRUKTUR YANG LISTING DI BURSA EFEK JAKARTA (BEJ) PERIODE JANUARI HINGGA DESEMBER 2006. Undergraduate thesis, Sriwijaya University.
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Abstract
The objectives of this research are 1) to analyze the return of stock from sector infrastructure company on 2006, 2) to know the risk of stock, 3) to understand the return of market stock, 4) to recognize the influences risk to return of sector infrastructure company in JSX on 2006. This research has shown that during period of year 2006, actual return of sector infrastructure company has a relative high value. And rate of risk or rate of Standard deviation between expected return and actual return has explained that rate of risk of stock high enough. The influences of risk to return stock of these company has shown about 2,3% of return was influenced by the risk, for the rest 97,7% was influenced by other variable such as market risk. In order to decide how to do the right investment in sector infrastructure company stock that listed in Jakarta Stock Exchange (JSX), investor have the ability to predict every possibility of changes of market condition, such intern and extern factor, which could influenced the stock prices movement. So, the actual return of the companies from stock investment could be maximal.
Item Type: | Thesis (Undergraduate) |
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Uncontrolled Keywords: | Return, Risk., Actual Return, Stock, Market Risk |
Subjects: | H Social Sciences > HG Finance > HG4551-4598 Stock exchanges |
Divisions: | 01-Faculty of Economics > 61201-Management (S1) |
Depositing User: | Mr Halim Sobri |
Date Deposited: | 19 Mar 2021 07:44 |
Last Modified: | 19 Mar 2021 07:44 |
URI: | http://repository.unsri.ac.id/id/eprint/43895 |
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