Comparison and Relationship among Capital Market is very important. As an investor who invests in many countries, the movement in one capital market may influence another country. Relationship among capital market must take into account. If in “A” country, the stock price is increase, it will influence the “B” country that has a stock listing in the “A” country.
Return analysis provide a comparison among Capital Market, IHSG has a higher market return. In forecasting return, KOSPI become a promising stock. Interest rate in one country also has an impact in another country. Indonesia has the higher interest rate, that may the reason why IHSG is more liquid and more interesting. In Beta analysis, all of the capital market has a positive result and classify as a defensive stock market. If we look at the standard deviation analysis IHSG is the riskier one, and that is also the reason why IHSG has more return compare to the other. IHSG and BEL20 classify as semi-strong market and KOSPI classify as weak form market efficiency. In the regression analysis, we get the result. KOSPI and BEL20 return simultaneously has an impact to the IHSG return
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