This study aimed to examine the accuracy of the results of the calculation of stock returns on SRI- KEHATI stock indexes using test model Capital Asset Pricing Model ( CAPM ) and the Arbitrage Pricing Theory ( APT ) . The population in this study is a company belonging to the SRI - KEHATI index during the period 2009 - 2014 respectively . Determination of samples was done by using purposive sampling , and obtained a sample of 14 companies . Data were taken to test the accuracy of the calculation of the model of CAPM and APT models is the daily stock price data , interset rate return, IHSG return, and the interest rate of Bank Indonesia . The data is processed and tested with SPSS . Results from this study show that ( 1 ) there are differenc...
Model keseimbangan CAPM (Capital Asset Pricing Model) dan APT (Arbitrage Pricing Theory) adalah sala...
Capital Asset Pricing Model (CAPM) dan Arbitrage Pricing Theory (APT) merupakan model yang digunakan...
CAPM is a balance model that can determine the risks and returns that investors will gain. Under the...
ABSTRACTThis study is to determination the difference in accuracy between the CAPM and APT models in...
This study aims to determine the effect of risk free returns, market returns, inflation, currency ex...
Model yang sering digunakan dalam mengestimasi expected return saham berdasarkan faktor-faktor yan...
The aim of this research is to analyze the level of accuracy between CAPM and APT models in predicti...
Penelitian ini bertujuan untuk mengetahui adanya perbedaaan signifikan antara dua model keseimbangan...
The financial sector and the capital market plays an important role in the economic growth of a coun...
AbstraksiPenelitian ini bertujuan untuk mengetahui model mana yang lebih akurat dalam memprediksi im...
Investor memerlukan suatu model perhitungan penilaian return untuk mengetahui saham yang undervalued...
ABSTRACT Tujuan utama penelitian ini adalah untuk menganalisa perbandingan Capital Asset Pricing Mo...
This study is done to analyze and compare the accuracy of Capital Asset Pricing Model (CAPM) and Arb...
Para investor pada umumnya menghindari adanya risiko (risk aversion), dan sudah pasti tidak ingin me...
Investors in investing in the capital market need to pay attention to two things, namely: the level ...
Model keseimbangan CAPM (Capital Asset Pricing Model) dan APT (Arbitrage Pricing Theory) adalah sala...
Capital Asset Pricing Model (CAPM) dan Arbitrage Pricing Theory (APT) merupakan model yang digunakan...
CAPM is a balance model that can determine the risks and returns that investors will gain. Under the...
ABSTRACTThis study is to determination the difference in accuracy between the CAPM and APT models in...
This study aims to determine the effect of risk free returns, market returns, inflation, currency ex...
Model yang sering digunakan dalam mengestimasi expected return saham berdasarkan faktor-faktor yan...
The aim of this research is to analyze the level of accuracy between CAPM and APT models in predicti...
Penelitian ini bertujuan untuk mengetahui adanya perbedaaan signifikan antara dua model keseimbangan...
The financial sector and the capital market plays an important role in the economic growth of a coun...
AbstraksiPenelitian ini bertujuan untuk mengetahui model mana yang lebih akurat dalam memprediksi im...
Investor memerlukan suatu model perhitungan penilaian return untuk mengetahui saham yang undervalued...
ABSTRACT Tujuan utama penelitian ini adalah untuk menganalisa perbandingan Capital Asset Pricing Mo...
This study is done to analyze and compare the accuracy of Capital Asset Pricing Model (CAPM) and Arb...
Para investor pada umumnya menghindari adanya risiko (risk aversion), dan sudah pasti tidak ingin me...
Investors in investing in the capital market need to pay attention to two things, namely: the level ...
Model keseimbangan CAPM (Capital Asset Pricing Model) dan APT (Arbitrage Pricing Theory) adalah sala...
Capital Asset Pricing Model (CAPM) dan Arbitrage Pricing Theory (APT) merupakan model yang digunakan...
CAPM is a balance model that can determine the risks and returns that investors will gain. Under the...