HERMANTO, FERI and Andaiyani, Sri (2025) DAMPAK RISIKO GEOPOLITIK, BITCOIN, DAN MAKROEKONOMI TERHADAP PASAR SAHAM EMERGING MARKET ASIA. Undergraduate thesis, Sriwijaya University.
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Abstract
This study examines the impact of geopolitical risk, Bitcoin, money supply, and real interest rates on stock markets in emerging market countries in Asia. We use annual data from 2010 to 2022 across these markets. The findings indicate that, in the long run, geopolitical risk has a significant negative impact on stock markets, reflecting how global instability increases investor uncertainty and weakens market performance. Conversely, Bitcoin has a significant positive effect in the long term. Money supply positively and significantly influences stock markets in both the short and long run, suggesting that higher liquidity stimulates investment activity. Meanwhile, real interest rates have a significant negative impact in the short run, indicating that rising real interest rates increase capital costs and reduce investment incentives in the stock market.
Item Type: | Thesis (Undergraduate) |
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Uncontrolled Keywords: | Pasar Saham, Risiko Geopolitik, Bitcoin, Makroekonomi |
Subjects: | H Social Sciences > HG Finance > HG4501-6051 Investment, capital formation, speculation |
Divisions: | 01-Faculty of Economics > 60201-Development Economics (S1) |
Depositing User: | Feri Hermanto |
Date Deposited: | 18 Mar 2025 05:39 |
Last Modified: | 18 Mar 2025 05:40 |
URI: | http://repository.unsri.ac.id/id/eprint/168874 |
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