PENGARUH VOLUME DAN NILAI TRANSAKSI TERHADAP INDEKS HARGA SAHAM PAPAN PENGEMBANGAN DI BURSA EFEK INDONESIA

Sunarso Sunarso

Abstract


This research is aimed to   find out corelation of book value and transaction volume to of development board stocks price index (DBX) index.  On development board stocks,  managing risks in the Indonesian Capital Market is different with main board stocks, so the common existing strategy is no more suitable for DBS’s  because their price can be changed extreemly in short time. That is why this research is held.  Invesment can be said as the  sacrefice of today consumtion to to rise capital gain in the future. There are many form of investment instruments, one of them is to buy stock in the capital market.  Invesment in the form of a set of stocks  is called portfolio investment. To get optimum return in the portfolio invesment an effective strategy must be implemented. One of the strategy is to compose portfolio in volatile price stocks. By implementing the strategy investor should manage risk to avoid excessive loss in their investment.  The methood in this research quatitative reseach base on secondary data source. The data taken from monthly historical transaction and fundamental analysis of DBX form Jaly 2011 to June 2016. Base on this research the volume and value of transacion only influence 25% of the DBX in Indonesian Stock Exchange.

 

Keywords:

Book Value, Transaction Volume, Development Board Stocks, capital market, portfolio invesment

Full Text:

PDF PDF

References


Ahmad, Kamarudin. 2004, Dasar-Dasar Manajemen Investasi Dan Portfolio, Rineka Cipta , Jakarta

Arikunto, Suharsimi. 2002. Prosedur Penelitian: Suatu Pendekatan Praktek. Jakarta. PT. Rineka Cipta,

Bursa Efek Indonesia, http:/www.idx.co.id

Dalimuthe, Zuliani dan Budi Wibowo. 2006. Investasi. Jakarta. Salemba Empat.

Fakhrudin, M dan M Sopian Hadianto. 2001, Perangkat dan Model Analisis Investasi di Pasar Modal; Buku 1. Jakarta. Gramedia

Halim, Abdul. 2002. Analisis Investasi, salemba Empat. Jakarta.

Husnan, Suad. 2001. Dasar-Dasar Teori Portofolio Dan Analisis Sekuritas. Jakarta. UPP AMP YKPN.

Indriantoro, Nur dan Bambang Supomo. 2002. Metodologi Penelitian Bisnis; edisi kedua. Yogyakarta. BPFE Yogjakarta.

Indriastuti, Dorothea. R. 2001. Analisis Pengaruh Faktor-faktor Fundamental terhadap Beta Saham di Bursa Efek Jakarta. Jurnal Perpektif Vol.6. No.1 Juni: 11-25

Jogianto. 2000. Teori Portofolio Dan Analisis Investasi, edisi kedua BPFE. Jogjakarta.

Mustain. 2007. Analisis Pembentukan Portofolio Saham Optimal (studi pada saham yang tercatat di Indeks LQ-45). Disertasi tidak diterbitkan. Malang. Fakultas Ekonomi Universitas Muhammadiyah Malang.

Rodoni, Ahmad dan Othman Yong. 2002. Analisis Investasi Dan Teori Portofolio. Jakarta. PT. Interpratama Offset

Sumariyah, 2003. Pengantar Pengetahuan Pasar Modal, Jogjakarta. UPP AMP YKPN

Tandelilin, Eduardus. 2001. Analisis Investasi Dan Manajemen Portofolio. Yogyakarta. BPFE Yogjakarta




DOI: http://dx.doi.org/10.33370/jpw.v18i3.52

Refbacks

  • There are currently no refbacks.


Copyright (c) 2019 Jurnal Pengembangan Wiraswasta



Tools:
   
JURNAL PENGEMBANGAN WIRASWASTA