At this time stock investment is one investment option. To obtain optimal profits a stock portfolio is needed. A portfolio is a combination of several shares. To form a portfolio, a model is needed to achieve an optimal portfolio. This research uses Single View Black-Litterman Model with ARIMA (Autoregressive Integrated Moving Average) approach. The selected shares are PT. Jasa Marga (JSMR), PT. Unilever Indonesia (UNVR), and PT. Waskita Karya (WSKT).
CITATION STYLE
Arisena, A. (2020). Return Portofolio Optimal Menggunakan Single View Black-litterman Model dengan Pendekatan ARIMA (Autoregressive Integrated Moving Average). Jurnal Co Management, 2(2), 258–264. https://doi.org/10.32670/comanagement.v2i2.119
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