EKONOMI, KEUANGAN, INVESTASI DAN SYARIAH (EKUITAS)
Vol 8 No 1 (2026): August 2026

Pentingnya Tata Kelola: Dimensi ESG dan Volatilitas Harga Saham pada JII70

Sirri Oktaviani (Universitas Muhammadiyah Cirebon, Cirebon)
Munawaroh Munawaroh (Universitas Muhammadiyah Cirebon, Cirebon)
Yuli Dewi (Universitas Muhammadiyah Cirebon, Cirebon)



Article Info

Publish Date
27 Aug 2026

Abstract

Stock price volatility reflects market uncertainty and investment risk, particularly in the Islamic capital market during the period of economic disruption and recovery from 2020 to 2024. This study aims to examine the effects of environmental performance, social performance, governance performance, and profitability on stock price volatility among companies listed on the Jakarta Islamic Index 70 (JII70). Using a quantitative approach, panel data regression with a random-effects model was applied to companies that were consistently included in the JII70 during the 2020–2024 period. Unlike previous studies, this study analyzes each ESG dimension separately and incorporates market return and the Bank Indonesia Rate (BI Rate) as control variables. The results show that governance performance has a negative and significant effect on stock price volatility, with a regression coefficient of −1.374906 and a significance level of 0.0323, while environmental performance, social performance, and profitability have no significant effects. The BI Rate also has a negative and significant effect on stock price volatility, whereas market return has only a marginal effect. These findings indicate that governance performance plays an important role in explaining stock price stability among companies listed on the JII70.

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Journal Info

Abbrev

ekuitas

Publisher

Subject

Economics, Econometrics & Finance

Description

1. Auditing, 2. Financial Management, 3. Marketing Management, 4. Strategic Management, 5. Organizational Behavior, 6. Operations Management, 7. Change Management, 8. Management of Sharia, 9. Knowledge Management 10.Entrepreneurship, 11.E-Business, 12.Business Management, 13.Capital Market, 14.Risk ...