ANALISIS PERBANDINGAN KINERJA REKSADANA SYARIAH DAN KONVENSIONAL (Studi Pada Reksadana Yang Terdaftar Di Otoritas Jasa Keuangan Periode 2015-2017)

M. Betsy Sancaria H1, Elfreda Aplonia Lau2 Murfat Effendi3

Abstract


M. Betsy Sancaria H: Comparative Analysis of the Performance of Islamic and Conventional Mutual Funds (Study of Mutual Funds Registered at the Financial Services Authority for the 2015-2017 Period) Under the guidance of Mrs. Elfreda Aplonia Lau as supervisor I and Mr. Murfat Effendi as supervisor II.

The purpose of this study is to analyze and study the portfolio return performance of Islamic Mutual Funds compared to Conventional Mutual Funds in 2015-2017 and risk-free return performance of Sharia Bank Indonesia Certificates (SBIS) compared to Bank Indonesia Certificates (SBI) in 2015-2017.

               The basic theory of this research is financial management. Financial management is all company activities related to how to obtain funds, manage assets in accordance with overall corporate goals.                The analytical tool used in this study is portfolio returns and risk-free returns using comparative analysis.The results of this study indicate that in 2015 portfolio return performance of Conventional Mutual Funds is better, in 2016-2017 Sharia Mutual Funds is better. Viewed on risk-free investment Auction of Bank Indonesia Certificates (SBI) have a higher value in 2015, and have the same value in 2016, while in 2017 Bank Indonesia Certificates Sharia (SBIS) have a higher value

Keywords


Sharia mutual funds, Performance, Return

Full Text:

PDF

References


Alteza, Muniya. 2010. Diktat Manajemen Investasi. Yogyakarta : Universitas Negeri Yogyakarta.

Brigham, Eugene F. dan Joel F. Houston. 2012. Fundamentals of Financial Management, Concise Edition. Florida : Cengage Learning

Gitman dan Zutter. 2012. Principles of Managerial Finance 13th Edition. Boston: Pearson Education Inc.

Hartono, Jogiyanto. 2013. Teori Portofolio dan analisis Investasi. Edisi 8. Yogyakarta: BPFE

Jannah, Norfathul. 2017. Pengaruh Dept To Equity Ratio Dan Total Asset Turnover Terhadap Return On Equity Pada Perusahaan Sektor Pertambangan Yang Terdaftar Di Bursa Efek Indonesia (BEI) Periode 2014-2015. Skripsi. Universitas 17 Agustus 1945 Samarinda.

Moeheriono. 2012. Pengukuran Kinerja Berbasis Kompetensi. Jakarta : Raja Grafindo Persada

Rofiq, Abdul. 2013. “Penilaian Kinerja Portofolio”. https://abdulrofiqsulaimanblog.wordpress.com/2013/01/19/penilaian-kinerja-portofolio/ Diakses pada hari Senin, 4 Maret 2019, jam 1:26 wita.

Tandelilin, Eduardus. 2001. Analisis Investasi dan Manajemen Portofolio. Yogyakarta : BPFE.




DOI: https://doi.org/10.31293/ekm.v11i1.6223

Refbacks

  • There are currently no refbacks.