Jurnal Profiet
Vol 5 No 2 (2024): Jurnal Profiet

Pembentukan Portofolio Saham Optimal dengan Model Single Index pada Saham Bank Buku 4 yang Terdaftar di BEI Tahun 2024

Ruzi, Fahrul (Unknown)



Article Info

Publish Date
25 Dec 2024

Abstract

This study was conducted to determine which bank book 4 stocks would be selected for the formation of a portfolio. The formation of this portfolio uses a single index model. This single index model was developed by William Sharpe and is a simplification of the Markowitz model that was previously developed by Markowitz. The results of this study provide information that the selected bank book 4 stocks are PNBN and NISP stocks with a portion of PNBN stocks of 85.9% and NISP stocks of 14.1%. The portfolio formed has an expected return of 3.7% with a portfolio risk of 7.18%. Keywords: Single Index Model, Portfolio, Return, Risk, Book Bank 4.

Copyrights © 2024






Journal Info

Abbrev

Publisher

Subject

Economics, Econometrics & Finance

Description

Jurnal Marketing STIE Perbankan Indonesia menerbitkan artikel-artikel di bidang manajemen, seperti keuangan, pemasaran, sumber daya manusia, sistem informasi manajemen, kewirausahaan dan studi terkait lainnya. Para editor menerima artikel paling lambat sebulan sebelum jadwal terbit . Penulis ...