efficient capital market and a lack of superior analyst imply that man terjemahan - efficient capital market and a lack of superior analyst imply that man Bahasa Indonesia Bagaimana mengatakan

efficient capital market and a lack

efficient capital market and a lack of superior analyst imply that many portfolios should be managed passively to match the performance of the aggregate market, minimizing the costs of research and trading. in response to this demand, several institutions have introduce index funds, which are security portfolios designed to duplicate the composition and performance of a selected market index series.
notably, this concept of stock market index funds has been extended to other areas of investment and as discussed by Gastineau (2001) and Kostovetsky (2003), has been enhanced by the introduction of exchange traded funds. index bond fund focus on spesific segments of the market such as international bond index funds, international stock index funds that target spesific countries and index funds that target small cap stocks in the US and Japan.
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efficient capital market and a lack of superior analyst imply that many portfolios should be managed passively to match the performance of the aggregate market, minimizing the costs of research and trading. in response to this demand, several institutions have introduce index funds, which are security portfolios designed to duplicate the composition and performance of a selected market index series.notably, this concept of stock market index funds has been extended to other areas of investment and as discussed by Gastineau (2001) and Kostovetsky (2003), has been enhanced by the introduction of exchange traded funds. index bond fund focus on spesific segments of the market such as international bond index funds, international stock index funds that target spesific countries and index funds that target small cap stocks in the US and Japan.
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pasar modal yang efisien dan kurangnya analis unggul menyiratkan bahwa banyak portofolio harus dikelola secara pasif untuk mencocokkan kinerja pasar agregat, meminimalkan biaya penelitian dan perdagangan. dalam menanggapi permintaan ini, beberapa lembaga telah memperkenalkan dana indeks, yang portofolio keamanan yang dirancang untuk menduplikasi komposisi dan kinerja dari serangkaian indeks pasar yang dipilih.
terutama, konsep ini dana indeks pasar saham telah diperpanjang ke area lain dari investasi dan sebagai dibahas oleh Gastineau (2001) dan Kostovetsky (2003), telah ditingkatkan dengan pengenalan pertukaran dana diperdagangkan. indeks obligasi dana fokus pada segmen spesifik dari pasar seperti dana indeks obligasi internasional, dana indeks saham internasional yang menargetkan negara-negara spesifik dan dana indeks yang menargetkan saham topi kecil di AS dan Jepang.
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