MACROECONOMIC EFFECT TO STOCK RETURNS IN PROPERTY AND REAL ESTATE COMPANIES

dc.contributor.authorIchsani, Sakina
dc.contributor.authorWidajatun, Vincentia Wahju
dc.contributor.authorPuspitasari, Devy Mawarnie
dc.contributor.authorHertina, Dede
dc.date.accessioned2021-02-07T14:46:25Z
dc.date.available2021-02-07T14:46:25Z
dc.date.issued2019
dc.description.abstractThe purpose of this study was to determine the effect of macroeconomic variables using inflation, exchange rates, BI Rate, GDP and economic growth on stock returns in the property and real estate sector listed on the IDX for the period 2013-2017. The method used purposive sampling so that the sample of this study is 27 companies. The research method in this study uses quantitative methods with analysis using regression analysis methods and data processed using eviews10. The results of the study show that there is a simultaneous influence between inflation, exchange rates, BI Rate, GDP and economic growth on stock returns. While partially, the BI rate and GDP have a significant positive effect on stock returns. Suggestion of research is for the next researcher can use the company in other industries as a comparison material and or can add research variables that influence stock returns. As for investors, if they are going to invest in property and real estate sectors, investors should pay attention to the macroeconomic conditions that affect stocks. The suggestion for the government is that the government always controls macroeconomic variables because this affects stock returns.en_US
dc.identifier.issn1943-023X
dc.identifier.urihttp://repository.widyatama.ac.id/xmlui/handle/123456789/12189
dc.language.isoenen_US
dc.publisherJournal of Advanced Research in Dynamical & Control Systems, Vol. 11, 03-Special Issueen_US
dc.subjectStock Returnsen_US
dc.subjectMacroeconomicsen_US
dc.titleMACROECONOMIC EFFECT TO STOCK RETURNS IN PROPERTY AND REAL ESTATE COMPANIESen_US
dc.typeArticleen_US
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