+62 813-8532-9115 info@scirepid.com

 
mri - Jurnal Manajemen Riset Inovasi - Vol. 2 Issue. 4 (2024)

Analisis Strategi Hedging untuk Manajemen Risiko Optimal pada Perbankan

Fia Dialysa,



Abstract

Hedging is a financial instrument that uses a risk management approach to neutralize systematic risk against changes in prices or cash flows: individuals and businesses. One alternative that can be done to minimize this risk of banking is hedging. (Hasanah, 2022). This study analyzes hedging strategies to achieve optimal risk management in banking companies. The object of the study is the banking industry, both conventional and sharia, listed on the IDX with an observation period of 2019-2023. The targeted outputs are scientific publications and national journals. The results of the study are Hedging strategies: (1) Forward Contract, (2) Futures Contract, and (3) Money Market. Hedging strategy implementation techniques are (1) Arbitrage (2) Diversification (3) Average down (4) Cash closing.
 
 







DOI :


Sitasi :

0

PISSN :

2963-2307

EISSN :

2964-7800

Date.Create Crossref:

15-Apr-2025

Date.Issue :

05-Sep-2024

Date.Publish :

05-Sep-2024

Date.PublishOnline :

05-Sep-2024



PDF File :

Resource :

Open

License :

https://creativecommons.org/licenses/by-sa/4.0