KOMPARASI RISK DAN RETURN SAHAM DAN SAHAM SYARIAH

Mabsya Pub Date : 2020-06-30 DOI:10.24090/mabsya.v2i1.3862
Setiyo Rini, Abil Finda Farrukhy, Kharis Fadlullah Hana
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引用次数: 2

Abstract

Abstract   This research aims to identify the difference in the mean return and risk of regular and sharia stock listed on the Indonesia Stock Exchange as a provider of secondary data listed in the consumer goods industry in the 2019 period. The data analysis techniques in this research are using descriptive and inferential statistics analysis. The results of descriptive analysis within 1 year showed that the average return of regular stock is -0.0018342 or -0.18% while the average return of Sharia stock 0,0009238 or 0.09%. The risk level of regular stock during the period of 1 year is 0.0539309 or 5.39%. while the risk level of sharia stock is 0.0142570 or 1.43%. Based on the results of inferential analysis research using a different test (Independent Sample t-test), obtained result that there is no significant difference between return and risk of regular stock and Sharia stock. Keywords: Return, Risk, Regular Stock, Sharia Stock   Abstrak   Penelitian ini bertujuan untuk mengidentifikasi perbedaan rata-rata return dan risk saham reguler dan saham syariah yang tercatat pada Bursa Efek Indonesia sebagai penyedia data sekunder yang tercantum di bidang industri barang konsumsi periode 2019. Teknik analisis data penelitian ini menggunakan analisis statistik deskriptif dan inferensial. Hasil analisis deskriptif pada kurun waktu 1 tahun menyatakan bahwa rata-rata return saham reguler senilai -0,0018342, sedangkan rata-rata return saham syariah senilai 0,0009238. Tingkat Risk saham reguler selama kurun waktu 1 tahun senilai 0,0539309, sedangkan tingkat risk saham syariah senilai 0,0142570. Berdasarkan hasil penelitian analisis inferensial dengan menggunakan uji beda (Independent Sample t-test) dihasilkan bahwa tidak ditemukan perbedaan signifikan antara return dan risk saham reguler dengan saham syariah. Kata Kunci: Return, Risk, Saham Reguler, Saham Syariah
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摘要[UNK]本研究旨在确定2019年期间,作为消费品行业上市的二级数据提供商,在印度尼西亚证券交易所上市的普通股票和伊斯兰教法股票的平均回报和风险差异。本研究中的数据分析技术是使用描述性和推断统计学分析。1年内的描述性分析结果显示,普通股的平均回报率为-0.0018342或-0.18%,Sharia股的平均收益率为0.0009238或0.09%。1年内普通股的风险水平为0.0539309或5.39%。Sharia股风险水平为0.0142570或1.43%检验(独立样本t检验),得到普通股和Sharia股的收益和风险之间没有显著差异的结果。关键词:回报,风险,普通股,Sharia股票[UNK]Abstrak该研究数据分析技术采用描述性和推断性统计分析。1年期间的描述性分析表明,普通股的平均回报率为-0.0018342,而公司股的平均收益率为0.0009238。一年内的常规股权风险水平为0.0539309,而公司风险水平为0.0142570。基于使用不同检验(独立样本t检验)的推断分析结果,得出的结论是,公司股票的回报率和常规股票风险之间没有发现显著差异。关键词:回报,风险,常规大小,Syariah大小
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审稿时长
8 weeks
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