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dc.contributor.advisorSadalia, Isfenti
dc.contributor.authorMulyani. S, Ester
dc.date.accessioned2025-07-24T03:45:37Z
dc.date.available2025-07-24T03:45:37Z
dc.date.issued2025
dc.identifier.urihttps://repositori.usu.ac.id/handle/123456789/106841
dc.description.abstractThis study aims to comparatively analyse the performance of an optimal green portfolio on the SRI-KEHATI stock index using an active strategy approach before and after the COVID-19 pandemic. The optimal portfolio was constructed using the Single Index Model (SIM) approach and then evaluated using three risk-adjusted performance measurement methods: the Sharpe ratio, Treynor ratio, and Jensen’s Alpha. The data used covers the periods before COVID-19 (2019–2021) and after COVID-19 (2022–2024), taking into account significant changes in market dynamics. To test for differences in portfolio performance between the two periods, the non-parametric Mann-Whitney U-Test was employed. The results show significant differences in the Sharpe and Jensen ratios before and after the pandemic, reflecting changes in risk-adjusted returns and the portfolio manager’s ability to generate alpha. However, the Treynor ratio did not show significant differences, indicating that compensation for systematic risk tended to remain stable across both periods. These findings offer important implications for investors implementing sustainable investment strategies in fluctuating market conditions.en_US
dc.language.isoiden_US
dc.publisherUniversitas Sumatera Utaraen_US
dc.subjectGreen portfolio, portfolio performance, Sharpe ratio, Treynor ratio, Jensen’s Alphaen_US
dc.titleAnalisis Perbandingan Kinerja Green Portofolio Optimal Pada Strategi Aktif Dengan Metode Sharpe, Treynor, Dan Jensen Pada Indeks Saham SRI-KEHATI Sebelum Dan Setelah COVID-19en_US
dc.title.alternativeComparative Performance Analysis of Optimal Green Portfolio in Active Strategy Using Sharpe, Treynor, and Jensen Methods on the SRI-KEHATI Stock Index Before and After COVID-19.en_US
dc.typeThesisen_US
dc.identifier.nimNIM210502116
dc.identifier.nidnNIDN0019106702
dc.identifier.kodeprodiKODEPRODI61201#Manajemen
dc.description.pages103 Pagesen_US
dc.description.typeSkripsi Sarjanaen_US
dc.subject.sdgsSDGs 8. Decent Work And Economic Growthen_US


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