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DAFTAR ISI
COVER............................................................................. i
DAFTAR ISI..................................................................... ii
BAB I PENDAHULUAN.................................................. 1
1.1 Latar Belakang............................................................. 1
1.2 Rumusan Masalah....................................................... 2
1.3 Tujuan Penelitian........................................................ 2
1.4 Manfaat Penelitian..................................................... 2
BAB II PEMBAHASAN................................................... 3
2.1 Pengertian Risiko....................................................... 3
2.2 Jenis Risiko.................................................................. 4
2.3 Sumber Risiko pada Investasi................................ 7
2.4 Mengukur Risiko Tunggal........................................ 10
2.5 Mengukur Risiko Portofolio.................................... 12
2.6 Proses Keputusan..................................................... 13
BAB III JURNAL ........................................................... 15
BAB IV KESIMPULAN.................................................. 17
DAFTAR PUSTAKA....................................................... 18
RISIKO SAHAM | ii

