Analisis Beda atas Tingkat Pengembalian dan Risiko Beta Saham Sebelum dan Selama Kasus COVID-19 pada Perusahaan Consumer Goods di BEI Periode 2018-2021

Kennedy, Posma Sariguna Johnson and Mote, Ruth and Situmorang, Humala and Sitorus, Franky (2023) Analisis Beda atas Tingkat Pengembalian dan Risiko Beta Saham Sebelum dan Selama Kasus COVID-19 pada Perusahaan Consumer Goods di BEI Periode 2018-2021. IKRA-ITH EKONOMIKA, 6 (1). pp. 207-214. ISSN 2654-7538

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Abstract

Dalam kegiatan berinvestasi, seorang investor dihadapkan pada risk dan return. Kedua variabel ini memiliki korelasi yang positif,f semakin besar hasil yang diperoleh maka umumnya semakin besar risiko yang dimiliki, demikian sebaliknya. Penelitian ini bertujuan untuk mengetahui dan menganalisi perbedaan risk dan return pada delapan subjek penelitian perusahaan consumer goods yang terdaftff ar di Bursa Efek Indonesia sebelum dan selama COVID-19 di Indonesia. Metode penelitian yang digunakan adalah metode analisis data kuantitatif,f penelitian ini menggunakan data sekunder berupa harga saham pada 8 perusahaan Consumer Goods indeks LQ45 yang terdaftff ar di Bursa Efek Indonesia mulai dari tahun 2018 sampai 2021. Hasil uji Statistics menunjukkan bahwa terdapat berbedaan risk dan return yang signiìkan antara sebelum dan selama masa pandemi COVID-19 di Indonesia. Hal ini menunjukkan peristiwa COVID-19 menyebabkan perubahan perilaku investor dalam berinvestasi di perusahaan consumer goods. Kata-kata Kunci: Analisa Beda, Consumer Goods, COVID-19, Risk dan Return, Saham. / In investing activities, an investor is faced with two elements inherent in every invested fund: risk and return. These two elements have a positive correlation, generally that the greater the results obtained, the greater the risk. On the contrary, the smaller the results obtained, the smaller the risks they face. This study aims to identify and analyze the differences in risk and return on eight research subjects of consumer goods companies listed on the Indonesia Stock Exchange before and during COVID-19 in Indonesia. The research method used is the quantitative data analysis method. This study uses secondary data from stock prices on 8 LQ45 index Consumer Goods companies listed on the Indonesia Stock Exchange from 2018 to 2021. The statistics test results show a significant difference in risk and return between before and during the COVID-19 pandemic in Indonesia. It shows that the COVID-19 event has caused changes in investor behaviour in investing in consumer goods companies. Keywords: Different Analysis, Consumer Goods, COVID-19, Risk and Return, Stocks

Item Type: Article
Subjects: SOCIAL SCIENCES > Commerce
SOCIAL SCIENCES > Finance
SOCIAL SCIENCES > Management
Depositing User: Mr Sahat Maruli Tua Sinaga
Date Deposited: 22 Aug 2023 03:51
Last Modified: 04 Oct 2024 10:36
URI: http://repository.uki.ac.id/id/eprint/12065

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