Analisis Risiko Investasi Saham Melalui Diversifikasi Portofolio secara Domestik dan Internasional

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Acep Samsudin
Chaterine Aritonang
 Gokmauli R.A Munthe
Wina Monalisa
Yanti Grace Hutasoit

Abstract

Along with the development of the era of globalisation and accelerating economic growth, investments can be made in various types of relatively high-risk investment instruments, such as stocks on both the national capital market and international capital markets. One investment option that promises high returns with high risk is stock investment. Therefore, the authors are interested in further discussing international investment risk assessment. The purpose of this study is to determine the risks of investing in stocks through domestic and international portfolio diversification. The research method used in this research is descriptive method. The analysis technique used is the analysis of literature studies


Keywords: Stock Investment Risk, Portfolio Diversification, Domestic, International

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How to Cite
SamsudinA., AritonangC., Munthe . R., MonalisaW., & HutasoitY. G. (2023). Analisis Risiko Investasi Saham Melalui Diversifikasi Portofolio secara Domestik dan Internasional. El-Mal: Jurnal Kajian Ekonomi & Bisnis Islam, 4(5), 1330-1351. https://doi.org/10.47467/elmal.v4i5.2895
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