Journal The Winners
Vol 3, No 2 (2002): The Winners Vol. 3 No. 2 2002

Hubungan Risiko Perusahaan dan Risiko Pasar serta Pengaruhnya pada Tingkat Diversifikasi Portofolio Saham

Kusbiantono, Kusbiantono (Unknown)



Article Info

Publish Date
30 Sep 2002

Abstract

This research objectives is to know empirically the connection between market risk and company risk on individual stock and portfolio stock, also the effect on stock diversification on Jakarta Stock Exchange. The result is there is correlation between market risk and company risk on individual stock and portfolio stock. Stock portfolio that form from stock with low beta score have smaller company risk compare to stock portfolio that form from stock with high beta score. The bigger number of stock in portfolio, the better diversification level on that portfolio.  

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