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Diversifikasi portofolio: studi stabilitas antar-watu return sekuritas perusahaan multinasional

Nirwanto, Nazief (2011) Diversifikasi portofolio: studi stabilitas antar-watu return sekuritas perusahaan multinasional. Jurnal Ekonomi, 16 (1).

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Abstract

This study attempts to prove that the portfolio selection of multinational companies listed in the stock market is preferable as compared to those of domestic or non MNCÂ’s in terms of better retrun and lower risks. The analysis shows that there is slight correlation between the retrun stability and risk. It proxied that there are other more relevant variables that signifies to the decision of portfolio selection among underlined investors. Among those companies with more than fifty percent shares owned by foreign enterprises as compared with the domestic ones there is slight correlation between retrun stability and stock prices. Beside, there has been obvious prove that there is greater independence among those stocks belong to MNC relative to those of mon MNCÂ’s. Obviously, investing in MNCÂ’s is still considered less riskier as compared with investing in otherwise non MNCÂ’s as non MNCÂ’s show higher dependency.

Item Type: Article
Additional Information: Nama : Nazief Nirwanto NIDN : 0723015001
Uncontrolled Keywords: Porfolio selection, return stability, multinational corporations
Divisions: Fakultas Ekonomi dan Bisnis > S1 Ekonomi Pembangunan
Depositing User: tassa Natassa Auditasi
Date Deposited: 11 Feb 2022 02:45
Last Modified: 11 Feb 2022 02:45
URI: https://eprints.unmer.ac.id/id/eprint/2465

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