<> "The repository administrator has not yet configured an RDF license."^^ . <> . . . "ANALISIS PERBANDINGAN KINERJA SAHAM SYARIAH DAN OBLIGASI SYARIAH BERDASARKAN RETURN, RISIKO, KOEFISIEN VARIASINYA DAN PEMBENTUKAN PORTOFOLIO OPTIMAL"^^ . "Investment activity is always faced with the two mutually opposite i.e.\r\nmaximize profits is expected as well as minimising their risk levels is faced. This\r\nresearch aims to know there is a significant difference or not between Islamic\r\nSharia bonds and stocks, as well as knowing the combination portfolio between\r\nthe two instruments. The sample of this research use Sharia investment\r\ninstruments i.e. Sharia and Islamic bonds shares the period September 2015 until\r\nAugust 2018. The sampling technique using purposive sampling and methods of\r\nanalysis using analysis deskriptive, test normality, test different Mann Whitney U,\r\nand the establishment of optimal portfolio with markowitz method. Tools used i.e.\r\nSPSS 23 and Microsoft Excel.\r\nThe results of this study indicate that the research variables return and\r\nrisk there are significant differences between Sharia Islamic bonds and stocks.\r\nWhereas in variable coefficients of variation with the value Assym. Sig of 1.000\r\ni.e. There is no significant difference between the two. Optimal Portfolio formed\r\nnamely Portfolio 4 (80%: 20%) portfolio 4 with a level of profit of 5.433008 and\r\nthe level of risk sebear 0.1852. Whereas the weighting (50%: 50%) i.e. portfolio 4\r\nwith a level of profit of 13.4062 and the level of risk 0.30052. The portfolio is a\r\ncombination of 4 shares of ADRO and SIPPLN01CN1."^^ . "2019-05-22" . . . . "UIN SUNAN KALIJAGA YOGYAKARTA"^^ . . . "FAKULTAS EKONOMI DAN BISNIS ISLAM, UIN SUNAN KALIJAGA YOGYAKARTA"^^ . . . . . . . . . "NIM.: 15830069"^^ . "Adisti Feby Anjani"^^ . "NIM.: 15830069 Adisti Feby Anjani"^^ . . . . . . "ANALISIS PERBANDINGAN KINERJA SAHAM SYARIAH DAN OBLIGASI SYARIAH BERDASARKAN RETURN, RISIKO, KOEFISIEN VARIASINYA DAN PEMBENTUKAN PORTOFOLIO OPTIMAL (Text)"^^ . . . . . "15830069_BAB I_BAB V_DAFTAR_PUSTAKA.pdf"^^ . . . "ANALISIS PERBANDINGAN KINERJA SAHAM SYARIAH DAN OBLIGASI SYARIAH BERDASARKAN RETURN, RISIKO, KOEFISIEN VARIASINYA DAN PEMBENTUKAN PORTOFOLIO OPTIMAL (Text)"^^ . . . . . "ANALISIS PERBANDINGAN KINERJA SAHAM SYARIAH DAN OBLIGASI SYARIAH BERDASARKAN RETURN, RISIKO, KOEFISIEN VARIASINYA DAN PEMBENTUKAN PORTOFOLIO OPTIMAL (Other)"^^ . . . . . . "ANALISIS PERBANDINGAN KINERJA SAHAM SYARIAH DAN OBLIGASI SYARIAH BERDASARKAN RETURN, RISIKO, KOEFISIEN VARIASINYA DAN PEMBENTUKAN PORTOFOLIO OPTIMAL (Other)"^^ . . . . . . "ANALISIS PERBANDINGAN KINERJA SAHAM SYARIAH DAN OBLIGASI SYARIAH BERDASARKAN RETURN, RISIKO, KOEFISIEN VARIASINYA DAN PEMBENTUKAN PORTOFOLIO OPTIMAL (Other)"^^ . . . . . . "ANALISIS PERBANDINGAN KINERJA SAHAM SYARIAH DAN OBLIGASI SYARIAH BERDASARKAN RETURN, RISIKO, KOEFISIEN VARIASINYA DAN PEMBENTUKAN PORTOFOLIO OPTIMAL (Other)"^^ . . . . . . "ANALISIS PERBANDINGAN KINERJA SAHAM SYARIAH DAN OBLIGASI SYARIAH BERDASARKAN RETURN, RISIKO, KOEFISIEN VARIASINYA DAN PEMBENTUKAN PORTOFOLIO OPTIMAL (Other)"^^ . . . . . . "lightbox.jpg"^^ . . . "ANALISIS PERBANDINGAN KINERJA SAHAM SYARIAH DAN OBLIGASI SYARIAH BERDASARKAN RETURN, RISIKO, KOEFISIEN VARIASINYA DAN PEMBENTUKAN PORTOFOLIO OPTIMAL (Other)"^^ . . . . . . "preview.jpg"^^ . . . "ANALISIS PERBANDINGAN KINERJA SAHAM SYARIAH DAN OBLIGASI SYARIAH BERDASARKAN RETURN, RISIKO, KOEFISIEN VARIASINYA DAN PEMBENTUKAN PORTOFOLIO OPTIMAL (Other)"^^ . . . . . . "medium.jpg"^^ . . . "ANALISIS PERBANDINGAN KINERJA SAHAM SYARIAH DAN OBLIGASI SYARIAH BERDASARKAN RETURN, RISIKO, KOEFISIEN VARIASINYA DAN PEMBENTUKAN PORTOFOLIO OPTIMAL (Other)"^^ . . . . . . "small.jpg"^^ . . . "ANALISIS PERBANDINGAN KINERJA SAHAM SYARIAH DAN OBLIGASI SYARIAH BERDASARKAN RETURN, RISIKO, KOEFISIEN VARIASINYA DAN PEMBENTUKAN PORTOFOLIO OPTIMAL (Other)"^^ . . . . . . "indexcodes.txt"^^ . . . "ANALISIS PERBANDINGAN KINERJA SAHAM SYARIAH DAN OBLIGASI SYARIAH BERDASARKAN RETURN, RISIKO, KOEFISIEN VARIASINYA DAN PEMBENTUKAN PORTOFOLIO OPTIMAL (Other)"^^ . . . . . "HTML Summary of #51909 \n\nANALISIS PERBANDINGAN KINERJA SAHAM SYARIAH DAN OBLIGASI SYARIAH BERDASARKAN RETURN, RISIKO, KOEFISIEN VARIASINYA DAN PEMBENTUKAN PORTOFOLIO OPTIMAL\n\n" . "text/html" . . . "Manajemen Keuangan Syariah" . .