Utama Zufa, M. Syah (2023) ANALISIS PERBANDINGAN INVESTASI SAHAM, EMAS, DAN REKSADANA SEBELUM DAN SAAT KRISIS. FAKULTAS EKONOMI DAN BISNIS, UNIVERSITAS LAMPUNG.
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Abstrak (Berisi Bastraknya saja, Judul dan Nama Tidak Boleh di Masukan)
Covid-19 merupakan wabah virus yang berasal dari Wuhan, China. Berdasarkan fenomena Covid-19 yang muncul berdampak pada perekonomian banyak negara tidak terkecuali Indonesia. Pemerintah menerapkan langkah-langkah pencegahan dengan menghimbau masyarakat untuk melakukan kegiatan dari rumah, mengurangi mobilitas dan menghindari kerumunan serta ditambah dengan memberlakukan PSBB di tahun 2020 dan PPKM 2021 guna mencegah penyebaran Covid-19. Berdasarkan fenomena yang terjadi dengan tujuan untuk mengetahui perbedaan return dan risk di antara saham, emas, dan reksadana sebelum Covid-19 serta return dan risk di antara saham, emas, dan reksadana saat Covid-19. Manfaat penelitian ini adalah memberikan gambaran investasi pada saham, emas, dan reksadana sebelum adanya krisis akibat pandemi Covid-19 dan saat adanya pandemi Covid-19 sebagai sudut pandang pengambilan keputusan investasi saat terjadi krisis. Dengan menggunakan jenis data kuantitatif dengan tipe penelitian komparatif dan sumber data adalah data sekunder. Sampel yang digunakan adalah Indeks penutupan bulanan dari Indeks LQ45 yang diperoleh dari idx.co.id, harga emas antam pada logammulia.com, dan NAB/Unit reksadana manulife saham andalan pada laman resmi bareksa yaitu bareksa.com periode Januari 2015 Desember 2022. Dengan menggunakan uji One Way ANOVA dilanjutkan dengan uji lanjut tukey HSD didapatkan hasil bahwa sebelum adanya pandemi Covid-19 terdapat perbedaan return dan risk di antara investasi saham, emas, dan reksadana yaitu pada sebelum Covid-19 saham merupakan investasi yang memiliki return dan risk tertinggi. Kemudian hasil bahwa saat adanya pandemi Covid-19 terdapat perbedaan return dan risk di antara investasi saham, emas, dan reksadana dimana pada saat Covid-19 reksadana merupakan investasi yang memiliki return dan risk tertinggi. Kata kunci: Sebelum Covid-19, Saat Covid-19, Return, Risk, Saham, Emas, Reksadana COVID-19 is a viral outbreak that originated in Wuhan, China. Based on the emerging COVID-19 phenomenon, it has an impact on the economies of many countries, including Indonesia. The government is implementing preventive measures by urging people to carry out activities from home, reducing mobility, avoiding crowds, and adding PSBB in 2020 and PPKM in 2021 to prevent the spread of COVID-19. Based on the phenomenon that occurred with the aim of knowing the difference in return and risk between stocks, gold, and mutual funds before COVID-19 and the return and risk between stocks, gold, and mutual funds during COVID-19, The benefit of this research is to provide an overview of investment in stocks, gold, and mutual funds before the crisis due to the COVID-19 pandemic and during the COVID-19 pandemic as a point of view for making investment decisions during a crisis. By using quantitative data types with comparative research types and data sources, we are using secondary data. The sample used is the monthly closing index from the LQ45 index obtained from idx.co.id, Antam's gold price at Logammulia.com, and the mainstay NAB/Manulife mutual fund unit on the Bareksa official website, namely Bareksa.com, for the period January 2015December 2022. By using the one-way ANOVA test followed by the Tukey HSD follow-up test, it was found that before the COVID-19 pandemic there were differences in returns and risks between stock, gold, and mutual fund investments, namely that before COVID-19 stocks were investments that had the highest returns and risks. Then the result is that during the COVID-19 pandemic, there were differences in returns and risks between investments in stocks, gold, and mutual funds, where during COVID-19, mutual funds were investments that had the highest returns and risks. Keywords: Before COVID-19, During COVID-19, Return, Risk, Stocks, Gold, Mutual Funds
Jenis Karya Akhir: | Skripsi |
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Subyek: | 300 Ilmu sosial > 330 Ekonomi 300 Ilmu sosial > 330 Ekonomi > 332 Ekonomi keuangan 300 Ilmu sosial > 330 Ekonomi > 336 Keuangan publik |
Program Studi: | Fakultas Ekonomi dan Bisnis > Prodi S1-Akuntansi |
Pengguna Deposit: | 2301633767 . Digilib |
Date Deposited: | 26 May 2023 03:43 |
Terakhir diubah: | 26 May 2023 03:43 |
URI: | http://digilib.unila.ac.id/id/eprint/71472 |
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