ANALISIS PERBANDINGAN RISK DAN RETURN SAHAM SYARIAH DAN KONVENSIONAL PADA JAKARTA ISLAMIC INDEX (JII30) DAN INDEKS LQ45 PERIODE TAHUN 2020-2022
DOI:
https://doi.org/10.30739/jesdar.v4i2.2437Keywords:
Return, Risk, Sharia Stocks, Conventional StocksAbstract
The purpose of this study is to find out the difference in the average Return and Risk of Islamic stocks on the Jakarta Islamic Index (JII) and conventional stocks on LQ45 in the period 2020 to 2022 from the website www.idx.co.id. The results of the descriptive analysis show that the returns on Islamic stocks are higher than conventional stocks (0.0095350 > 0.0046987 or 0.95% > 0.46%). Meanwhile, the risk level is higher for sharia stocks than conventional stocks, namely 0.1072991 > 0.1019323 or 10.72% > 10.19%. Based on the results of the different test using the Independent Sample t-test, it was found that the Equal Variance Assumed assumption can be identified as the Sig. (2-tailed) > ? value with a significance value of 0.737> 0.05, while the assumption of Equal Variances Assumed Return value Sig. (2-tailed) > ? value with a significance value of 0.607> 0.05. From these data it can be concluded that the results of the significance of risk and stock returns show a significance value that is greater than the significance level ? = 5% (0.05) so that it can be interpreted that there is no significant difference between the Return and Risk of Islamic stocks and conventional stocks.
Downloads
References
Adnyana, I.M. 2020. Manajemen Investasi dan Portofolio. Jakarta: Lembaga Penerbitan Universitas Nasional (LPU-UNAS).
Aziz, Abdul. 2010. Manajemen Investasi Syariah. Bandung: Alfabeta.
Bursa Efek Indonesia. Laporan Keuangan. www.idx.co.id
Cahyani, Ruwi, and Muhammad Andryzal Fajar. 2020 Analisis Perbandingan Return dan Risk pada Saham Syariah dan Saham Konvensional. Jurnal Akuntansi
Fahmi, I. 2015. Pengantar Teori Portofolio dan Analisis Investasi. Bandung: ALFABETA.
Fahmi, Irham. 2013. Analisis Laporan Keuangan. Bandung: Alfabeta.
Faidah, Faridhatun, Gilang Puspita Rini, Vikha Indira Asri. 2020. Analisis Keputusan Investasi Pelaku UMKM Di Kudus. Jurnal Ekonomi dan Bisnis
Halim, Abdul. 2015. Auditing (Dasar-dasar Audit Laporan Keuangan). Jilid 1. Edisi Kelima. UPP STIM YKPN: Yogyakarta.
Hartono, Jogiyanto. 2015. Teori Portofolio dan Analisis Investasi. Edisi Kesepuluh. Yogyakarta: BPFE.
Herlianto, Didit. 2013. Manajemen Investasi Plus Jurus Mendeteksi Investasi Bodong. Yogyakarta: Gosyen Publishing
Hidayat, Taufik, S. E. 2011. Buku Pintar Investasi Syariah. Mediakita.
Hidayati, Atina. 2022 Pandemi Covid 19 dan Investasi; Dampak Pandemi Covid19 Terhadap Harga Saham Syariah di Indonesia. Jurnal At-Tamwil: Kajian Ekonomi Syariah
Kasmir, 2014. Analisis Laporan Keuangan, cetakan ke-7. Jakarta: PT RajaGrafindo Persada.
KBBI, K. B. 2021. Retrieved Maret 2022, from https://kbbi.web.id/
Kurniawan,dkk. 2016. Metode Penelitian Kuantitatif. Yogyakarta: Pandiva Buku.
Lestari, and Atty Erdiana. 2021. Analisis Perbedaan Risk dan Return antara Saham Syariah dan Konvensional di Bursa Efek Indonesia. Jurnal Maksipreneur: Manajemen, Koperasi, dan Entrepreneurship
Noor, J. 2011. Metodologi Penlitian: Skripsi, Tesis, Desertasi, dan karya Ilmiah. Jakarta: Kencana Perdana Media Group.
Nurchayati, Dkk. 2020. Analisa Perbandingan Risk dan Return pada Investasi Saham Syariah dan Konvensional (Studi pada Jakarta Islamic Index (JII) dan Indeks LQ45 Periode 2016-2019). Serat Acitya
Rini, Setiyo, dkk. 2020. Komparasi Risk dan Return Saham dan Saham Syariah. Assets: Jurnal Ekonomi, Manajemen dan Akuntansi
Rodoni,Ahmad dan Herni Ali. 2010. Manajemen Keuangan. Edisi Pertama. Jakarta: MitraWacana Media,
Sugiyono. 2011. Metode Penelitian Kuantitatif Kualitatif R&D. Bandung: Alfabeta.
Sugiyono. 2012. Metode Penelitian Pendidikan Pendekatan Kuantitatif, Kualitatif, dan R&D. Bandung: Alfabeta.
Sutedi, Adrian. 2011. Pasar Modal Syariah Sarana Investasi Kuangan Berdasarkan Prinsip Syariah. Jakarta : Sinar Grafika.
Tandelilin,Eduardus. 2017. Pasar Modal Manajemen Portofolio & Investasi. Yogyakarta: PT Kanisius.
Toha, Mohamad, and Agnes Agnes Cahyatria Manaku. 2020 . Perkembangan dan Problematika Pasar Modal Syariah di Indonesia. Al-tsaman: Jurnal Ekonomi dan Keuangan Islam
Yuliana, Indah. 2010. Investasi Produk Keuangan Syariah. Malang: UIN Maliki Press.
Downloads
Published
How to Cite
Issue
Section
Citation Check
License
Copyright (c) 2023 Wiwit Mustafidah, Abdul Khakim

This work is licensed under a Creative Commons Attribution-ShareAlike 4.0 International License.