PERAMALAN VOLATILITAS DAN ESTIMASI VALUE AT RISK (VaR) SAHAM BLUE CHIP PADA SEKTOR PERBANKAN

NI Kadek Juliarini, I. W. Sumarjaya, Kartika Sari
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引用次数: 1

Abstract

Investment is an activity to invest an asset to obtain a greater profit. The investment there's in great demand by investors are stock investments. Based on market capitalization, stocks are classified into first-tier, second-tier, and third-tier stocks. Stocks that have the highest market capitalization are first-tier or blue-chip stocks. Blue-chip stocks are stocks that are classified as main shares on the listing board on the IDX. Before investing, it's important to know the level of investment risk in order to make the right investment decisions. The purpose of this study is to determine the risk of investing in blue-chip stocks namely BRI, BCA, and Bank Mandiri through volatility forecasting using the GARCH, EGARCH, or TGARCH models. The data used is the daily closing price of shares for the period of 25 May 2005 to 21 May 2021 which was obtained through the Yahoo Finance website. Based on the research results, it's known that Bank Mandiri has the highest investment risk and BCA has the lowest investment risk. Based on these results, it can be suggested that investors who like risk can choose to invest in Bank Mandiri shares, and those who don't like risk can invest in BCA shares.
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波动性与价值和风险的估计
投资是一种对资产进行投资以获得更大利润的活动。投资者需求量很大的投资是股票投资。根据市值,股票分为一级、二级和三级股票。市值最高的股票是一线股或蓝筹股。蓝筹股是指在IDX上市板上被归类为主要股票的股票。在投资之前,了解投资风险水平以做出正确的投资决策是很重要的。本研究的目的是通过使用GARCH、EGARCH或TGARCH模型进行波动性预测,确定投资蓝筹股(即BRI、BCA和Bank Mandiri)的风险。所使用的数据是通过雅虎财经网站获得的2005年5月25日至2021年5月21日期间的每日收盘价。根据研究结果可知,Mandiri银行的投资风险最高,BCA的投资风险最低。基于这些结果,可以建议喜欢风险的投资者可以选择投资Bank Mandiri的股票,不喜欢风险的可以投资BCA的股票。
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审稿时长
24 weeks
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