Kevin Hutama
Universitas Pelita Harapan

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Analisis Pengaruh Environmental and Sustainable Policies Terhadap Abnormal Return dan Volatilitas Return Saham Selama Pandemi Covid-19 [Analysis of the Effect of Environmental and Sustainable Policies on Abnormal Return and Stock Return Volatility During Covid-19 Pandemic] Kevin Hutama; Valentino Budhidharma
Jurnal Finansial dan Perbankan (JFP) Vol 1, No 2: July 2022
Publisher : Universitas Pelita Harapan

Show Abstract | Download Original | Original Source | Check in Google Scholar | DOI: 10.19166/jfp.v1i2.5671

Abstract

This study was conducted to determine the effect of environmental, social, and corporate governance on abnormal returns and stock return volatility in 25 companies listed on the ESG Leaders Index for 3 quarters, starting from the 4th quarter of 2020 to the 2nd quarter of 2021. The data analysis method used is chow test, hausman test, Langrage multiplier test, and diagnostic test. The results of the study indicate that environmental, social, and governance have no effect on abnormal return and return volatility.BAHASA INDONESIA ABSTRACTPenelitian ini dilakukan untuk mengetahui pengaruh lingkungan, sosial, dan tata kelola perusahaan terhadap abnormal return dan volatilitas return saham pada 25 perusahaan yang terdapat di Index ESG Leaders selama 3 kwartal, dimulai dari kwartal 4 2020 sampai kwartal 2 2021. Metode analisis data yang digunakan yaitu uji chow, uji hausman, uji Langrage Multiplier, serta uji diagnostik. Hasil penelitian menunjukkan bahwa lingkungan, sosial, dan tata kelola tidak memiliki pengaruh apa-apa terhadap abnormal return dan volatilitas return.