Jurnal Ekonomi dan Kewirausahaan
Vol 12, No 1 (2012): Ekonomi dan Kewirausahaan

ANALISIS RISIKO DALAM KEPUTUSAN INVESTASI

Wardiningsih, Suprihatmi Sri (Unknown)



Article Info

Publish Date
29 Sep 2012

Abstract

ABSTRACT In investment decisions, management must deal with uncertainty in the future. The uncertainty of a number of possible events can occur. Risk management is what needs to be considered in investment decisions. Management needs to incorporate an element of risk in the investment proposals of thinking, so that each investment project has a different risk levels. This will affect the required rate of return (Required Rate of Return), which determines whether a feasible investment project is accepted or rejected. Approach to the measurement of risk in investment decisions, among others: the mean standard deviation approach, certainty equivalent approach, risk adjusted discount rate approach, sensitivity analysis, scenario analysis, break even analysis. Keywords: Risk analysis, risk measurement, Investment Decisions, Certainty Equivalent

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Journal Info

Abbrev

Ekonomi

Publisher

Subject

Economics, Econometrics & Finance Social Sciences

Description

Human Resource and Development Marketing Management Financial Management Operation Management Strategic Management Entrepreneurial and ...