According to portfolio theory, diversification is a way to reduce unsystematic- risk. The more assets we put in our portfolio, the less unsystematic risk we have. By doing this the only risk left in the portfolio that should be considered by investors is the systematic risk which is measured by beta. The objective of this research is to obtain an empirical evidence on the speed of reduction in portfolio's beta by comparing portfolio that consists of high- beta assets and low- beta assets. The result shows that portfolio consists of low beta assets have a higher speed in reducing the systematic risk compare to portfolio consist of high beta assets. It implies the needs to consider the magnitude of an asset beta in constructing a portfolio t...
When Investor making an investment, they willing to get an optimal return, but on the reality, inves...
The main objective of investors in making investments is to gain profit (Return). To maximize expect...
Loan diversification in the banking industry was an interesting topic to be studied. Unlike previous...
This research objectives is to know empirically the connection between market risk and company risk ...
INDONESIA: Dalam manajemen keuangan berlaku prinsip high risk high return, yang artinya investasi...
This study examined the effect of Financial Literacy and the Retail Investor Portfolio. Data obtaine...
Stock investment has become one of the most interesting and promising ways to provide a faster rate ...
In the capital markets, especially the investment market, the establishment of a portfolio is someth...
There are certain risks and returns that may appear and need to be considered by investors in capita...
In terms of certainty, the owner of the stocks income becomes more uncertain because of the payment ...
Dunia investasi dikenal adanya hubungan kuat antara risk dan return. Seorang investor harus mengamat...
This research tries to explore the issue of beta stationarity on Jakarta Stock Exchange. The tests i...
This research extends previous research In portofolio theory turns out that inaddition to beta stock...
Investors can reduce risk by diversification or by forming a portfolio from its investment so that t...
<h1>ABSTRACT</h1> <p> </p> <p>This research is an effort to show how to analyse an investment by div...
When Investor making an investment, they willing to get an optimal return, but on the reality, inves...
The main objective of investors in making investments is to gain profit (Return). To maximize expect...
Loan diversification in the banking industry was an interesting topic to be studied. Unlike previous...
This research objectives is to know empirically the connection between market risk and company risk ...
INDONESIA: Dalam manajemen keuangan berlaku prinsip high risk high return, yang artinya investasi...
This study examined the effect of Financial Literacy and the Retail Investor Portfolio. Data obtaine...
Stock investment has become one of the most interesting and promising ways to provide a faster rate ...
In the capital markets, especially the investment market, the establishment of a portfolio is someth...
There are certain risks and returns that may appear and need to be considered by investors in capita...
In terms of certainty, the owner of the stocks income becomes more uncertain because of the payment ...
Dunia investasi dikenal adanya hubungan kuat antara risk dan return. Seorang investor harus mengamat...
This research tries to explore the issue of beta stationarity on Jakarta Stock Exchange. The tests i...
This research extends previous research In portofolio theory turns out that inaddition to beta stock...
Investors can reduce risk by diversification or by forming a portfolio from its investment so that t...
<h1>ABSTRACT</h1> <p> </p> <p>This research is an effort to show how to analyse an investment by div...
When Investor making an investment, they willing to get an optimal return, but on the reality, inves...
The main objective of investors in making investments is to gain profit (Return). To maximize expect...
Loan diversification in the banking industry was an interesting topic to be studied. Unlike previous...