This research goals are to analyze risk and return level of stocks in JII using Markowitz model and single index model, to construct an optimal portfolio, determine the fund proportion, to analyze risk and return generated by optimal portfolio, to formulate managerial implications. The sample are 9 stocks that are listed consistently and did not stock split or reverse stock and the number of observation in 300 stocks during the period June 2011 to May 2016. Construct an optimal portfololio using Markowitz model and single index model. The result shows that the Single Index Model construct 1 portfolio consists of : UNVR (64.2%), LPKR (14.7%), ASRI (9.4%), LSIP (1.4%), INTP (5.8%) and SMGR (4.2%), whereas the Markowitz Model construct 2 portf...
ABSTRACTIn stock investment activities in the capital market, an investor needs tohave expertise in ...
Investasi di pasar modal memerlukan keahlian agar dana yang diinvestasikanmaksimal. Salah satu strat...
This research was conducted to determine the composition of the stock portfolio formed by the Random...
This research goals are to analyze risk and return level of stocks in JII using Markowitz model and ...
The purpose of this study was to determine the optimal portfolio using Markowitz Model and Single In...
This research is a quantitative descriptive study which aims to determine the optimal portfolio comp...
The ultimate goal of research is to determine the optimal stock portfolio models and efficient. Achi...
Investment is a growing number of funds in hopes of getting higher returns in the future. To minimiz...
This study aims to find stocks that are listed in the Jakarta Islamic Index (JII) at the Indonesia S...
This research was conducted on the basis of the increasing number of investors who choose to invest ...
The purpose of this study was to determine the optimal portfolio of stocks that is formed through th...
Fund investment activities in the capital market required expertise to minimize the investment risk....
The research was conducted on the basis of the increasing number of investors who choose to invest t...
Investment in the form of shares is expected to attract more investors, this can be seen in the pote...
Saham merupakan investasi yang berisiko atau investasi yang tingkat keuntungan di masa yang akan dat...
ABSTRACTIn stock investment activities in the capital market, an investor needs tohave expertise in ...
Investasi di pasar modal memerlukan keahlian agar dana yang diinvestasikanmaksimal. Salah satu strat...
This research was conducted to determine the composition of the stock portfolio formed by the Random...
This research goals are to analyze risk and return level of stocks in JII using Markowitz model and ...
The purpose of this study was to determine the optimal portfolio using Markowitz Model and Single In...
This research is a quantitative descriptive study which aims to determine the optimal portfolio comp...
The ultimate goal of research is to determine the optimal stock portfolio models and efficient. Achi...
Investment is a growing number of funds in hopes of getting higher returns in the future. To minimiz...
This study aims to find stocks that are listed in the Jakarta Islamic Index (JII) at the Indonesia S...
This research was conducted on the basis of the increasing number of investors who choose to invest ...
The purpose of this study was to determine the optimal portfolio of stocks that is formed through th...
Fund investment activities in the capital market required expertise to minimize the investment risk....
The research was conducted on the basis of the increasing number of investors who choose to invest t...
Investment in the form of shares is expected to attract more investors, this can be seen in the pote...
Saham merupakan investasi yang berisiko atau investasi yang tingkat keuntungan di masa yang akan dat...
ABSTRACTIn stock investment activities in the capital market, an investor needs tohave expertise in ...
Investasi di pasar modal memerlukan keahlian agar dana yang diinvestasikanmaksimal. Salah satu strat...
This research was conducted to determine the composition of the stock portfolio formed by the Random...