ANALISIS PERBEDAAN RETURN DAN RISIKO SERTA PENGARUH KINERJA KEUANGAN TERHADAP RETURN DAN RISIKO PADA SAHAM JAKARTA ISLAMIC INDEX DAN SAHAM NON JAKARTA ISLAMIC INDEX PERIODE 2007-2011
Number of issuers in the list of Islamic securities in 2007 to 2012 increase every year thus increasing the market capitalization of Islamic securities. Increased market capitalization is reflected in the growing volume of transactions that Islamic stock index represented by Jakarta Islamic Index si...
Main Authors: | , Siska Priyandani Yudowati, , I Wayan Nuka Lantara, S.E., M.Si., Ph.D. |
---|---|
Format: | Thesis |
Published: |
[Yogyakarta] : Universitas Gadjah Mada
2014
|
Subjects: |
Similar Items
-
Analisis pengaruh risiko sistematis dan book to market value terhadap return saham di Bursa Efek Jakarta (2004-2006)
by: , WIDIARTO, Arif Waluyo, et al.
Published: (2008) -
Dampak pengumuman deviden terhadap return saham dan aktivitas volume perdagangan saham di Bursa Efek Jakarta (BEJ)
by: , DESMOND, et al.
Published: (2006) -
Analisis kemampuan beta sebagai indikator risiko proksi return pada indeks saham sektoral di Bursa Efek Jakarta tahun 2004-2007
by: , SARJONO, et al.
Published: (2008) -
Risiko sistimatis, ukuran perusahaan dan return saham di Bursa Efek Jakarta :: Studi empiris di Bursa Efek Jakarta
by: , KURNIAWAN, Ardi, et al.
Published: (2002) -
Pengaruh pengumuman Dividen terhadap Return Saham dengan model tiga faktor Fama dan French di Bursa Efek Jakarta
by: , SUPARTININGSIH, Kurnia, et al.
Published: (2005)