Hubungan Risiko Saham Dengan COVID-19
on
Authors:
I Gde Wahyu Purna Anggara
Abstract:
“COVID-19 has affected all aspects of life, including capital markets around the world, including Indonesia. This study aims to look at the impact of COVID-19 on changes in risk in stocks. Stock risks that are the object of research are overall risk (variance return) and market-based risk (stock beta). The research method used is a quantitative approach with a population of all company shares listed on the Indonesia Stock Exchange (IDX) with purposive sampling, where a sample of 67 companies was obtained. There is a significant difference between the total stock risk before the COVID-19 pandemic and during the COVID-19 pandemic. There is an increase in total stock risk during the COVID-19 pandemic. Furthermore, there is a significant difference between market risk before the COVID-19 pandemic and during the COVID-19 pandemic. Keywords: Stock; COVID-19; Return; Stock Risk”
Keywords
Stock; COVID-19; Return; Stock Risk
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Published
2023-03-26
How To Cite
ANGGARA, I Gde Wahyu Purna. Hubungan Risiko Saham Dengan COVID-19.E-Jurnal Akuntansi, [S.l.], v. 33, n. 3, p. 773-785, mar. 2023. ISSN 2302-8556. Available at: https://jurnal.harianregional.com/akuntansi/id-80060. Date accessed: 28 Aug. 2025. doi:https://doi.org/10.24843/EJA.2023.v33.i03.p14.
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Issue
Vol 33 No 3 (2023)
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Articles
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