Portofolio Reksadana Optimal Saham Bluechip pada Kondisi Pasar Saham Bearish dan Bullish
In bullish and bearish markets, investors should seek the optimization of investments in the mutual funds. This research attempted to elaborate on how to divide funds that are less productive for the investors in accordance with the slogan, “don’t pull all of your eggs in one basket”; so that the ob...
Main Author: | Mohammad Yahya Arief |
---|---|
Format: | Article |
Language: | Indonesian |
Published: |
Bogor Agricultural University
2019-05-01
|
Series: | Jurnal Aplikasi Bisnis dan Manajemen |
Online Access: | http://journal.ipb.ac.id/index.php/jabm/article/view/22156 |
Similar Items
-
Analisis Perbandingan Kinerja Portofolio Saham - Saham Jakarta Islamic Index Pada Pasar Bullish Dan Bearish
by: Jose Hadita, et al.
Published: (2014-03-01) -
PEMBENTUKAN PORTOFOLIO OPTIMAL SAHAM-SAHAM PADA PERIODE BULLISH DI BURSA EFEK INDONESIA
by: Suramaya Suci Kewal
Published: (2013-04-01) -
Analisis Kinerja Dan Potensi Pertumbuhan Return Portofolio Reksadana Saham Dan Reksadana Campuran
by: Ferikawita M. Sembiring, et al.
Published: (2009-08-01) -
ANALISIS KINERJA REKSADANA SAHAM DAN REKSADANA INDEKS DALAM PENILAIAN TINGKAT EFISIENSI PASAR MODAL INDONESIA
by: Tona Aurora Lubis, et al.
Published: (2012-05-01) -
The Phenomenon of Bearish and Bullish in The Indonesian Stock Exchange
by: Berto Usman
Published: (2016-09-01)