Wijaya, Liliana Inggrit and Loebiantoro, Ika Yanuarti (2004) Diversifikasi "Market Return" Di Bursa Efek Anggota Asian Security Forum. Ekonomi dan Bisnis, 6 (2). pp. 109-122. ISSN 1410-9204
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Abstract
Many investors like to create a portfolio by investing in one OT mo1'e stocks in the same stock market or in the various stock markets. InvestOT have several alternatives of investment, either domestically or internationally. By creating a portfolio, investor will be able to diversify their investment in OTder to reduce their risk through identifying the coefficient of correlation among those stock markets, particularly those countries in Asia Securities Forum. This paper identify the coefficient of correlation among stock market in ASF in order to difersify international market value.
Item Type: | Article |
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Uncontrolled Keywords: | Diversifikasi lntemasional, Market Return, dan Portfolio |
Subjects: | H Social Sciences > HD Industries. Land use. Labor > HD28 Management. Industrial Management |
Divisions: | Faculty of Business and Economic > Department of Management |
Depositing User: | Ester Sri W. 196039 |
Date Deposited: | 11 Apr 2022 02:59 |
Last Modified: | 11 Apr 2022 02:59 |
URI: | http://repository.ubaya.ac.id/id/eprint/41723 |
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