Jurnal Ekonomi Syariah Teori dan Terapan
Vol. 5 No. 2 (2018): Februari-2018

PERBANDINGAN KINERJA REKSADANA SYARIAH DAN REKSADANA NON-SYARIAH DI INDONESIA BERDASARKAN RETURN, RESIKO, DAN KOEFISIEN VARIASI

Shafira Sa’adah Syauqiyah (Fakultas Ekonomi dan Bisnis - Universitas Airlangga)
Muhammad Nafik H. R (Fakultas Ekonomi dan Bisnis - Universitas Airlangga)



Article Info

Publish Date
13 Jun 2019

Abstract

This research aims to find out the performance comparison between sharia mutual funds and non-sharia mutual funds in Indonesia during 2013-2015 by using return, risk, and coefficient of variation in the three types of mutual funds; equity mutual fund, mixed mutual fund, and fixed income mutual fund. The approach used is quantitative approach by using independent samples t-test or mann whitney in the test analysis with 5% significant level. The result of this study indicate that there is no significant difference between return, risk, and coefficient of variation of sharia mutual funds and non-sharia mutual funds in Indonesia in three types of mutual funds.  REFERENCESBrigham, Eugene dan Joel F. Houston. 2009. Fundamental of Financial Management 12th Edition. USA: South-Western Cengage LearningBursa Efek Indonesia. 2015. Sekolah Pasar Modal Syariah. JakartaHartono, Jogiyanto. 2012. Teori Portofolio dan Analisis Investasi. Yogyakarta: BPFE YogyakartaHirt, Geoffrey A. dan Stanley B. Block. 1999. Fundamentals of Investment Management. Singapore: McGraw-Hill Book Co.Huda, Nurul dan Mohamad Heykal. 2010. Lembaga Keuangan Islam. Jakarta: KencanaKandarisa, Nur Aini. 2014. Perkembangan dan Hambatan Reksadana Syariah di Indonesia: Suatu Kajian Teori. Jurnal Akuntansi Unesa Vol 2, No 2Karim, Adiwarman A. 2014. Bank Islam: Analisis Fiqih dan Keuangan. Jakarta: Raja Grafindo PersadaManan, Abdul. 2009. Aspek Hukum dalam Penyelenggaraan Investasi di Pasar Modal Syariah Indonesia. Jakarta: KencanaMasruroh, Aini. 2014. Konsep Dasar Investasi Reksadana. Jurnal Universitas Islam Negeri JakartaMelicher, Ronald D. dan Edgar A. Norton. 2003. Finance: Introduction to Institutions, Investment, and Management. USA: John Wiley & Sons, Inc.Ratnawati, Vince dan Ningrum Khairini. 2012. Perbandingan Kinerja Reksadana Syariah dan Reksadana Konvensional. Jurnal Akuntansi Vol 1, No 1Ryandono, M. Nafik Hadi. 2009. Bursa Efek dan Investasi Syariah. Jakarta: SerambiSudarsono, Heri. 2007. Bank dan Lembaga Keuangan Syariah. Yogyakarta: EkonisiaSuhartono dan Fadlillah Qudsi. 2009. Portofolio Investasi dan Bursa Efek. Yogyakarta: UPP STIM YKPNSutedi, Adrian. 2011. Pasar Modal Syariah. Jakarta: Sinar GrafikaTandelilin, Eduardus. 2010. Portofolio dan Investasi, Teori dan Aplikasi. Yogyakarta: KanisiusWahyudi, Imam dkk. 2013. Manajemen Risiko Bank Islam. Jakarta: Salemba Empat

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Journal Info

Abbrev

JESTT

Publisher

Subject

Economics, Econometrics & Finance

Description

Jurnal Ekonomi Syariah Teori dan Terapan (JESTT) accepts original manuscripts in the field of Islamics Economics, including research reports, case reports, application of theory, critical studies and literature ...