PERBANDINGAN RISIKO DAN PENGEMBALIAN ANTARA SAHAM-SAHAM BERBASIS SYARIAH DAN NON SYARIAH YANG TERCATAT DI BURSA EFEK INDONESIA

Jurnal Manajemen

Abstract


This research aims to determine the significant differentiation on risk and returns between sharia and non-sharia stocks based on Indonesian Stock Exchange. The Independent Sample T-Test was employed as an analytical tool. To measure the significant level of differentiation is using critical value < 0,05. The result shows that there was no significant differentiation of the risk and returns between sharia and non-sharia stocks based. The analysis also shows that the risk and returns of non-sharia higher than sharia stock based. Based on the results of data analysis, it could be recommended that investors be better to invest in sharia stock based because it has a lower risk than non-sharia stock based.


Keywords


Risk, Return, Sharia and Non-Sharia Stock Based

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DOI: https://doi.org/10.22219/jmbumm.Vol6.No2.%25p

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