CD Skripsi
Analisis Perbandingan Return Dan Risk Reksa Dana Saham Syariah Yang Terdaftar Pada Ojk Sebelum Dan Pada Saat Pandemi Covid-19 Di Indonesia Periode 2017-2022
This study aims to identify and analyze the differences in return and risk of Islamic equity mutual funds before and during the Covid-19 pandemic in Indonesia for the 2017-2022 period. The population in this study were 54 Islamic equity mutual fund companies registered with the OJK in each period. The samples taken were 14 companies with the sampling method using random sampling. The data used in this study is secondary data obtained from historical data on Sharia Equity Mutual Fund Statistics from the Financial Services Authority (OJK) website and data on net asset value (NAV) taken from the total net asset value of each company obtained from the website OJK mutual funds every month during the 2017-2022 period. The data analysis technique used is nonparametric statistics using Wilcoxon's signed rank test. In drawing conclusions based on the Wilcoxon test, a significant value of 0.05, which is equal to 0.074 for risk. So it can be concluded that there is a difference between the rate of return of Islamic stock mutual funds at OJK before and during the Covid-19 pandemic and there is no difference between the risk level of Islamic stock mutual funds at OJK before and during the Covid-19 pandemic.
Keywords: Return, Risk, OJK, Covid-19
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