This study concerns about the optimization construction of a balanced fund consisting the LQ45 stocks and Indonesian Government Bonds, which also includes the assessment of each single asset risk-return tradeoff and the performance measurement of the constructed optimal balanced fund portfolio. The time scope of this study ranges as of 1 July 2009 to 30 June 2014. Several data required to conduct the analysis of this study that include the historical daily price of stocks, bonds, Jakarta Composite Index, and LQ45, as well as the monthly data of BI Rate as the risk-free rate used in this study. The selected stocks and bonds were further analyzed in the asset allocation as a part of the portfolio optimization, by attaining the possible maximu...
The research observed that equity portfolio and investment managers were facing challenges in determ...
Rational investors will invest their funds in efficient stock which provides high expected return wi...
Investors basically pay more attention to risks than returns (profit rates). For this purpose,invest...
This study concerns about the optimization construction of a balanced fund consisting the LQ45 stock...
Abstract : In forming their portfolios, investors should analyze the risk and return of each invest...
The goal of this thesis is to construct an optimal portfolio based on Markowitz’s modern portfolio...
Investment in the capital market is now an interesting thing for the Indonesian people. Beside being...
This study aims to analyze the strategy in determining the optimal stocks portfolio performance thro...
When we choose to invest our asset in capital market, we will expect the return, such as dividend a...
ABSTRACT: The Pension Fund of PT Pos Indonesia (Dapenpos) is considering cutting off all its stock f...
When we choose to invest our asset in capital market, we will expect the return, such as dividend an...
The pandemic's impact has hit the Indonesian capital market, which has experienced a deep correction...
This research discussed about investing concept and how the investor construct optimum portfolio. Th...
This study aims to determine the optimal portfolio formation by using the Markowitz model on the IDX...
Investing is an art of how to manage wealth growth. In order to have optimum return, an investor has...
The research observed that equity portfolio and investment managers were facing challenges in determ...
Rational investors will invest their funds in efficient stock which provides high expected return wi...
Investors basically pay more attention to risks than returns (profit rates). For this purpose,invest...
This study concerns about the optimization construction of a balanced fund consisting the LQ45 stock...
Abstract : In forming their portfolios, investors should analyze the risk and return of each invest...
The goal of this thesis is to construct an optimal portfolio based on Markowitz’s modern portfolio...
Investment in the capital market is now an interesting thing for the Indonesian people. Beside being...
This study aims to analyze the strategy in determining the optimal stocks portfolio performance thro...
When we choose to invest our asset in capital market, we will expect the return, such as dividend a...
ABSTRACT: The Pension Fund of PT Pos Indonesia (Dapenpos) is considering cutting off all its stock f...
When we choose to invest our asset in capital market, we will expect the return, such as dividend an...
The pandemic's impact has hit the Indonesian capital market, which has experienced a deep correction...
This research discussed about investing concept and how the investor construct optimum portfolio. Th...
This study aims to determine the optimal portfolio formation by using the Markowitz model on the IDX...
Investing is an art of how to manage wealth growth. In order to have optimum return, an investor has...
The research observed that equity portfolio and investment managers were facing challenges in determ...
Rational investors will invest their funds in efficient stock which provides high expected return wi...
Investors basically pay more attention to risks than returns (profit rates). For this purpose,invest...