T, Rut Monica Desrianty (2023) Analisis Risiko dan Return, Serta Pengaruh Nilai Tukar, Harga Minyak, Market Return, dan Periode Perang Terhadap Return Saham Sub Sektor Minyak dan Gas Bumi Pada Masa Sebelum dan Selama Perang Rusia dan Ukraina Pada Perusahaan Sub Sektor Minyak dan Gas Bumi Yang Terdaftar di Bei 2019-2022. S1 thesis, Universitas Kristen Indonesia.
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Abstract
Sektor pertambangan minyak dan gas bumi, merupakan sektor yang sangat penting bagi Indonesia karena tidak hanya berperan sebagai sumber devisa negara, namun juga penting bagi rumah tangga dan industri Indonesia. Tujuan dari penelitian ini adalah untuk mengidentifikasi perbedaan risiko dan pengembalian investasi sebelum dan selama perang Rusia-Ukraina dan untuk menilai dampak variabel independen seperti nilai tukar, harga minyak, dan pengembalian pasar terhadap return saham minyak dan gas. Hasil penelitian ini dapat dijadikan pedoman bagi para peneliti dan investor yang tertarik untuk berinvestasi di sektor ini. Penelitian ini menggunakan sampel sebanyak 8 perusahaan yang dipilih dengan menggunakan metode purposive sampling. Hasil penelitian ini menunjukkan bahwa subsektor minyak dan gas bumi, memiliki perbedaan equity risk dan return sebelum dan selama perang Rusia-Ukraina. Namun hasil penelitian menunjukkan bahwa sebelum perang terjadi pengaruh yaitu variabel harga minyak, aktivitas pasar mempengaruhi stok produk subsektor minyak dan gas. Namun pada masa perang, return saham subsektor migas menjadi variabel yang berpengaruh. Kata Kunci : Return Saham, Risiko Saham, Nilai Tukar, Harga Minyak, Market Return, Perang Rusia dan Ukraina. / The oil and gas mining sector is a very important sector for Indonesia because it not only acts as a source of foreign exchange, but is also important for Indonesian households and industry. The purpose of this study is to identify the differences in investment risk and return before and during the Russo-Ukrainian war and to assess the impact of independent variables such as exchange rates, oil prices, and market returns on oil and gas stock returns. The results of this study can be used as a guideline for researchers and investors who are interested in investing in this sector. This study used a sample of 8 companies selected using purposive sampling method. The results of this study indicate that the oil and gas sub-sector has differences in equity risk and return before and during the Russo-Ukrainian war. However, the results of the study show that before the war there was an influence, namely the oil price variable, market activity affecting product stocks in the oil and gas sub-sector. However, during the war, stock returns in the oil and gas sub-sector became an influential variable. Keywords: Stock Returns, Stock Risk, Exchange Rates, Oil Prices, Market Returns, Russian and Ukrainian Wars
Item Type: | Thesis (S1) | ||||||||
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Subjects: | SOCIAL SCIENCES > Economic history and conditions SOCIAL SCIENCES > Industries. Land use. Labor EDUCATION SOCIAL SCIENCES > Management |
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Divisions: | FAKULTAS EKONOMI DAN BISNIS > Manajemen | ||||||||
Depositing User: | Users 4745 not found. | ||||||||
Date Deposited: | 15 May 2024 10:50 | ||||||||
Last Modified: | 08 Oct 2024 11:46 | ||||||||
URI: | http://repository.uki.ac.id/id/eprint/14579 |
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