Comparative analysis of risk premium and stock market returns in indonesia: a case study of normal and covid-19 pandemic periods

HIGHLIGHTS

  • What: The insights from this study aim to contribute to more resilient market strategies, enabling stakeholders to navigate both current and future economic challenges effectively.
  • Who: COMPUTER from the (UNIVERSITY) have published the paper: http://jist.publikasiindonesia.id/ Comparative Analysis of Risk Premium and Stock Market Returns in_Indonesia: A Case Study of Normal and COVID19 Pandemic Periods, in the Journal: Jurnal Indonesia Sosial Teknologi Vol. 5, No. 11, November 2024 of December/31,/2023

SUMMARY

    In the financial world, a high level of volatility indicates excellent risk but also opens up . . .

     

    Logo ScioWire Beta black

    If you want to have access to all the content you need to log in!

    Thanks :)

    If you don't have an account, you can create one here.

     

Scroll to Top

Add A Knowledge Base Question !

+ = Verify Human or Spambot ?