Indrawati, Nanik (2009) Aplikasi Manajemen Risiko pada investasi Foreign Exchange: Studi pada PT. Victory International Futures Kantor Cabang Malang. Undergraduate thesis, Universitas Islam Negeri Maulana Malik Ibrahim.
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Abstract
ABSTRAK
Dalam dunia investasi kita mengenal istilah high risk, high return, Forex merupakan salah satu investasi dengan kategori risiko tinggi. Sehingga diperlukan strategi atau pertimbangan yang matang dalam melakukan transaksi Forex yang disebut dengan manajemen risiko.
Penelitian ini merupakan penelitian kualitatif dengan pendekatan studi kasus. Penelitian ini menggunakan analisis deskriptif, dengan tujuan 1) Untuk mendiskripsikan mekanisme transaksi Forex, 2) Mendiskripsikan aplikasi manajemen risiko yang diterapkan di PT. Victory International Futures Kantor Cabang Malang dalam bertransaksi Forex.
Mekanisme transaksi Forex yaitu penjual dan pembeli bertemu di lantai bursa dengan sistem transaksi lewat layar monitor (trading screen/META 4) yang digunakan untuk mengetahui running harga. Sedangkan, proses terjadinya transaksi Forex berawal ketika calon nasabah mendiskusikan tujuan yang diinginkannya dengan wakil pialang/commision house yang memiliki izin (terdaftar) di BBJ. Aplikasi manajemen risiko yang ada di PT. VIF yang diberikan kepada para client (investor) selaku commision house ada 2 kriteria, yaitu sebelum melakukan transaksi dan pada saat melakukan transaksi. Sebelum melakukan transaksi investor diberikan arahan tentang penggunaan sistem yang automaticly (META 4) secara Online Trading dan pelatihan tentang manjemen risiko. Sedangkan pada saat investor melakukan transaksi, diterapkan manajemen risiko seperti Cutloss, Switching, Locking, Averaging, dan manajemen risiko yang sering dipakai adalah pemasangan stoploss dan takeprofit. Disampingan alisis tekhnikal dan fundamental dalam analisis dan observasi ada analisis tambahan lagi yang disebut dengan indicator. Dari 40 indicator yang tersedia di META 4, indicator yang paling banyak digunakan di PT. VIF yaitu Moving Average, Stochastic Oscilator, Fibonacci Retracement, Bollinger Bands dan Pabolic Sars. Adapun tingkat keakuratannya adalah 70% sampai 80%.
ABSTRACT
In investment business, we have recognized the term of high risk, high return, Forex is one of investments with the high risk category. Thus, it is required well strategy or consideration in doing Forex transaction which is called risk management.
This research applies the qualitative method using case study approach. This research uses descriptive analysis, with purpose 1) to describe the mechanism of Forex transaction, 2) to describe the application of risk management which is applied at PT. Victory International Futures Branch of Malang). Forex transaction Mechanism, which is seller and consumer meet in exchange floor through transaction system via monitor screen (trading screen/ META 4) that is applied to know running price. The process of Forex transaction begins when the client candidate discuss the desired purpose with representative of broker/ commission house which has license (registered) in BBJ. The application of risk management of PT. VIF which is given to the client (investor) as the commission house is divided into two categories; those are before doing transaction and at the time of doing transaction. Before doing transaction, the investor is guided about the usage of automatic system (META 4) via Online Trading and risk management training. While the investor doing transaction, risk management such as Cut loss, Switching, Locking, and Averaging are applied and risk management which often used is assemblies of stop loss and take profit. Besides analysis of technical and undamental used in analysis and observation, there is additional analysis which is called by indicator. From 40 indicators which are available in META 4, the most useful indicator in PT. VIF are Moving Average, Stochastic Oscillator, Fibonacci Retracement, Bollinger Bands and Parabolic Sars. The accuracy is 70% to 80%.
Item Type: | Thesis (Undergraduate) | ||||||
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Supervisor: | Alamsyah, Ahmad Fahrudin | ||||||
Contributors: |
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Keywords: | Manajemen resiko; Forex; Investasi; Risk Management; Forex; Investment | ||||||
Subjects: | 15 COMMERCE, MANAGEMENT, TOURISM AND SERVICES > 1502 Banking, Finance and Investment > 150205 Investment and Risk Management | ||||||
Departement: | Fakultas Ekonomi > Jurusan Manajemen | ||||||
Depositing User: | Adi Sucipto | ||||||
Date Deposited: | 11 Jan 2023 15:08 | ||||||
Last Modified: | 11 Jan 2023 15:08 | ||||||
URI: | http://etheses.uin-malang.ac.id/id/eprint/44036 |
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