Dzar Lathuf Farrasi (2021) ANALISA PENGUKURAN EQUITY INVESTMENT RISK BERBASIS BAGI HASIL PADA BANK BUKU I DAN II TAHUN 2014-2019. S1 thesis, Universitas Muhammadiyah Yogyakarta.
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Abstract
The purpose of this research to find out the potential investment risk in 5 Islamic
banks contained in BUKU 1 and 2 of 2014–2019. This research uses descriptive
mathematical research by using quantitative research data. The formed
quantitative data the form of continuum data is the data obtained from the
measuring result and then formulate these results into ratios. Measurement
method for the risk of this investment is use a concentration based financing profit
sharing and quality of profit sharing based financing. The results of this study
indicate that from a composition point of view which has the lowest level of
investment risk is Bank Mega Syariah because during 2014 to 2016 included in
the Low to Moderate category whereas from a quality point of view profit sharing
based financing is Bank BCA Syariah because for the last 6 years it was included
in the Low category which means that the bank has a very low level of risk
Item Type: | Thesis (S1) |
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Divisions: | Fakultas Agama Islam > Ekonomi Syariah S1 |
Depositing User: | Unnamed user with email robi@umy.ac.id |
Date Deposited: | 05 Nov 2021 03:25 |
Last Modified: | 05 Nov 2021 03:25 |
URI: | https://etd.umy.ac.id/id/eprint/4778 |