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Artikel 1

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  • HASTALONA, DINA

Abstract

Investasi yang dilakukan oleh seseorang atau pun perusahaan tentulah harus memperhatikan risiko dan return dari keputusan keuangan yang dibuat. Return merupakan imbalan atau hasil yang akan didapatkan di masa akan datang yang disebabkan oleh penanaman dana atau investasi yang dilakukan investor. Sedangkan risiko merupakan peluang terjadinya penyimpangan dari suatu rata-rata tingkat pengembalian (return) yang diharapkan investor. Standar deviasi dijadikan sebagai pengukuran atas risiko tersebut. Risk dan return akan saling berkorelasi jika kita membahas mengenai investasi.

Suggested Citation

  • Hastalona, Dina, 2021. "Artikel 1," OSF Preprints 3xju7, Center for Open Science.
  • Handle: RePEc:osf:osfxxx:3xju7
    DOI: 10.31219/osf.io/3xju7
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