This research aims to determine the effect of systematic risk and market ratios on sharia stock returns in companies listed in the Indonesian sharia stock index for 2020-2022. The independent variables in this research are systematic risk and market ratios and the dependent variable in this research is stock returns. The research sample is companies listed in the 2020-2022 Indonesian Sharia Stock Index. The sample was selected using a purposive sampling technique to obtain 12 companies listed in the sharia stock index. This research uses multiple linear regression analysis research methods. The research results show that systematic risk and market risk have a positive effect on sharia stock returns simultaneously.Keywords: systematic risk, ...
Stock price traded on the exchange is closely related to the achievements of the company. Achievemen...
Penelitian ini bertujuan untuk mengetahui pengaruh frekuensi perdagangan, rasio keuangan, dan kapita...
This study aims to determine whether or not the effect of profitability, liquidity and solvency on I...
Progress in sharia recently presenting the different variation in Indonesian economy. Now, Indonesi...
This research is intended to determine the effect of Asset, Current Ratio, Debt Equity Ratio, Net Pr...
Islamic capital market is the investment alternatives in accordance with Islamic law. However, the p...
Islamic capital market is the investment alternatives in accordance with Islamic law. However, the p...
This study aims to determine and analyze the differences in risk and returns between Islamic and non...
This research is intended to determine the effect of Asset, Current Ratio, Debt Equity Ratio, Net Pr...
This study aims to determine the effect of Return On Assets (ROA), Earning Per Share (EPS), Debt to ...
This research aimed to investigate the effect of profitability ratio (ROA,ROE) and market value rati...
Penelitian ini bertujuan untuk mengidentifikasi perbedaan rata-rata return dan risk saham reguler da...
The purpose of this study is to analyze and test the effect of financial ratios and macroeconomics o...
ANALISIS DAMPAK FAKTOR RISIKO SISTEMATIK TERHADAP SENSITIVITAS RETURN SAHAM-SAHAM KONVENSIONAL DAN S...
This study investigates the effect of financial ratios on stock returns at companies listed in Indek...
Stock price traded on the exchange is closely related to the achievements of the company. Achievemen...
Penelitian ini bertujuan untuk mengetahui pengaruh frekuensi perdagangan, rasio keuangan, dan kapita...
This study aims to determine whether or not the effect of profitability, liquidity and solvency on I...
Progress in sharia recently presenting the different variation in Indonesian economy. Now, Indonesi...
This research is intended to determine the effect of Asset, Current Ratio, Debt Equity Ratio, Net Pr...
Islamic capital market is the investment alternatives in accordance with Islamic law. However, the p...
Islamic capital market is the investment alternatives in accordance with Islamic law. However, the p...
This study aims to determine and analyze the differences in risk and returns between Islamic and non...
This research is intended to determine the effect of Asset, Current Ratio, Debt Equity Ratio, Net Pr...
This study aims to determine the effect of Return On Assets (ROA), Earning Per Share (EPS), Debt to ...
This research aimed to investigate the effect of profitability ratio (ROA,ROE) and market value rati...
Penelitian ini bertujuan untuk mengidentifikasi perbedaan rata-rata return dan risk saham reguler da...
The purpose of this study is to analyze and test the effect of financial ratios and macroeconomics o...
ANALISIS DAMPAK FAKTOR RISIKO SISTEMATIK TERHADAP SENSITIVITAS RETURN SAHAM-SAHAM KONVENSIONAL DAN S...
This study investigates the effect of financial ratios on stock returns at companies listed in Indek...
Stock price traded on the exchange is closely related to the achievements of the company. Achievemen...
Penelitian ini bertujuan untuk mengetahui pengaruh frekuensi perdagangan, rasio keuangan, dan kapita...
This study aims to determine whether or not the effect of profitability, liquidity and solvency on I...