Hubungan Antara Risiko Sistematis, Tingkat Suku Bunga, dan Return Saham dalam Portofolio Investasi: Analisis pada Bank BUMN yang Terdaftar di BEI

Abstract
This study aims to examine the impact of systematic risk and interest rates on the stock returns of state-owned banks (Bank BUMN) listed on the Indonesia Stock Exchange during the period 2021–2023. Using a multiple linear regression approach, the study finds that neither systematic risk nor interest rates have a significant partial or joint effect on the stock returns of Bank BUMN. These findings indicate that in the context of the Indonesian stock market—particularly the state-owned banking sector—these factors may not necessarily be the primary determinants in shaping stock returns. The implication of these results is the importance of considering other variables that may play a greater role in explaining stock return movements, such as firm-specific microeconomic factors and investor expectations regarding the banks’ fundamental performance.
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How to Cite

Banafsyah Imanda Safa, et al. (2025). Hubungan Antara Risiko Sistematis, Tingkat Suku Bunga, dan Return Saham dalam Portofolio Investasi: Analisis pada Bank BUMN yang Terdaftar di BEI. Journal of Administrative and Sosial Science (JASS), 6(2). https://doi.org/10.55606/jass.v6i2.2091

Banafsyah Imanda Safa; Diana Oktavia Kholimah Wati; Vidinia Nuansa Citra; Felisya Natalia Purwanto; Maria Yovita R. Pandin, "Hubungan Antara Risiko Sistematis, Tingkat Suku Bunga, dan Return Saham dalam Portofolio Investasi: Analisis pada Bank BUMN yang Terdaftar di BEI," Journal of Administrative and Sosial Science (JASS), vol. 6, no. 2, 2025.

Banafsyah Imanda Safa; Diana Oktavia Kholimah Wati; Vidinia Nuansa Citra; Felisya Natalia Purwanto; Maria Yovita R. Pandin. "Hubungan Antara Risiko Sistematis, Tingkat Suku Bunga, dan Return Saham dalam Portofolio Investasi: Analisis pada Bank BUMN yang Terdaftar di BEI." Journal of Administrative and Sosial Science (JASS), vol. 6, no. 2, 2025.

Banafsyah Imanda Safa; Diana Oktavia Kholimah Wati; Vidinia Nuansa Citra; Felisya Natalia Purwanto; Maria Yovita R. Pandin. "Hubungan Antara Risiko Sistematis, Tingkat Suku Bunga, dan Return Saham dalam Portofolio Investasi: Analisis pada Bank BUMN yang Terdaftar di BEI." Journal of Administrative and Sosial Science (JASS) 6, no. 2 (2025).

Banafsyah Imanda Safa, et al. (2025) 'Hubungan Antara Risiko Sistematis, Tingkat Suku Bunga, dan Return Saham dalam Portofolio Investasi: Analisis pada Bank BUMN yang Terdaftar di BEI', Journal of Administrative and Sosial Science (JASS), 6(2). doi: 10.55606/jass.v6i2.2091.

Banafsyah Imanda Safa; Diana Oktavia Kholimah Wati; Vidinia Nuansa Citra; Felisya Natalia Purwanto; Maria Yovita R. Pandin. Hubungan Antara Risiko Sistematis, Tingkat Suku Bunga, dan Return Saham dalam Portofolio Investasi: Analisis pada Bank BUMN yang Terdaftar di BEI. Journal of Administrative and Sosial Science (JASS). 2025;6(2).

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