ANALISIS PERBANDINGAN RESIKO DAN PENGEMBALIAN SAHAM KONVENSIONAL DAN SAHAM SYARIAH PADA INDEKS SAHAM LQ 45
Abstract
The purpose of this study is to compare the level of risk and rate of return for conventional and sharia stocks whether there is a difference or not in the LQ 45 Stock Index in 2019-2020.
The basic theory used in this research is Financial Management which includes the Capital Market and Stocks. This type of research is quantitative research, with the data used is secondary data which is LQ 45 Stock Index data. The analytical tool used is Statistical Analysis, namely paired sample t test.
The result of the discussion of this study is that the hypothesis proposed by the researcher is rejected, because from the results of statistical analysis tests there is no significant difference between the returns of sharia shares and conventional shares, and the risk of sharia and conventional shares, this is evidenced by the probability value (sig-t) of 0.141 > 0.05 and 0.232 > 0.05.
Keywords
DOI: https://doi.org/10.31293/ekm.v12i1.6909
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