Setyawan, Ignatius Roni and Ramli, Ishak and Wijaya, Danny Several Large Stocks in the Malaysian and Indonesian Stock Markets. Several Large Stocks in the Malaysian and Indonesian Stock Markets.

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Abstract

Bai and Green (2010) argue that existing studies related to international diversification of portfolio mainly concentrated on the
risk-returns tradeoffs from the developed markets perspective. Very few literatures available on the behavior on emerging
markets, they are scarce in comparison to the developed market ones. This study tries to examine the benefit of international
diversification toward the Indonesian and Malaysian markets; which to date there has been no study done toward these markets.
As far as the empirical evidences show, these two markets yield benefits to the international investor’s portfolio with the
Indonesian stock market bears the greater yield than Malaysia.

Item Type: Article
Subjects: Penelitian > Fakultas Ekonomi
Depositing User: Puskom untar untar
Date Deposited: 10 Nov 2020 10:25
Last Modified: 10 Nov 2020 10:25
URI: https://repotest.untar.ac.id/id/eprint/13220

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