TY - THES N1 - Pembimbing: Izra Berakon, M.Sc. ID - digilib49709 UR - https://digilib.uin-suka.ac.id/id/eprint/49709/ A1 - Muhammad Ihza Yudi Pratama, NIM.: 17108030013 Y1 - 2022/01/14/ N2 - This study aims to determine the effect of stock selection, risk level, Jakarta Interbank Offered Rated (JIBOR), and inflation on the Net Asset Value (NAV) of islamic mixed mutual funds. The independent variables used in this study are the stock selection level of risk, Jakarta Interbank Offered Rated (JIBOR), and inflation, the dependent variable used is the Net Asset Value (NAV) of islamic mixed mutual funds. The sample in this study consisted of 3 companies that were registered successively at OJK and managed by investment managers of BUMN and BUMN subsidiaries from 2018 to 2020. The analysis technique used was panel data regression using STATA 13 software. The results showed that partially the level of risk has a positif effect on the Net Asset Value (NAV) of Islamic mixed mutual funds, while stock selection, Jakarta Interbank Offered Rated (JIBOR), and inflation have no effect on Net Asset Value (NAV) with a coefficient of determination of 10.75% PB - UIN SUNAN KALIJAGA YOGYAKARTA KW - Nilai Aktiva Bersih (NAB) Reksa Dana Campuran Syariah KW - Pemilihan Saham KW - Tingkat Risiko KW - Jakarta Interbank Offered Rated (JIBOR) KW - dan Inflasi. M1 - skripsi TI - PENGARUH PEMILIHAN SAHAM, TINGKAT RISIKO, JIBOR, DAN INFLASI TERHDAP NILAI AKTIVA BERSIH REKSA DANA CAMPURAN SYARIAH AV - restricted EP - 108 ER -