METODE MANAJEMEN RESIKO DALAM TRADING FOREX UNTUK MEMINIMALISASI KERUGIAN SERTA PENINGKATAN PROFIT INVESTOR PADA PT. INTER PAN PASIFIK FUTURES DI SUKOHARJO

Franciska, Maria (2015) METODE MANAJEMEN RESIKO DALAM TRADING FOREX UNTUK MEMINIMALISASI KERUGIAN SERTA PENINGKATAN PROFIT INVESTOR PADA PT. INTER PAN PASIFIK FUTURES DI SUKOHARJO. Other thesis, Universitas Sebelas Maret.

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    Abstract

    This thesis aims to gain an overview and understanding of risk management methods in forex trading at the PT. INTER PAN PASIFIK FUTURES in Sukoharjo, so that to obtain knowledge about how to minimize and increase profits for investors. Research was done by an short training at PT. INTER PAN PASIFIK FUTURES in Sukoharjo. The research method that is used is a case study that is certain to take some objects to eleborate and analyze in PT. INTER PAN PASIFIK FUTURES by focusing on a point of issue. Data collection techniques, among others by way of observation. The data used is primary data and secondary data. Primary data is obtained by direct labor practices at PT. INTER PAN PACIFIC FUTURES Sukoharjo while secondary data obtained through books or other sources related to forex trading activities. The results obtained that the method of risk management in forex trading for losses improvement and profits minimize losses briefly investor is riskmanagement by way of cut loss or liquidate a position in a state of loss, switching where investors to liquidate the first position and then goes back to the opposite position of initial position, locking is done at the time the investor in a state of floating profit / loss which investors locked loss or gain to the opposite position and is often also referred to as hedging position and the latter by the method of averaging, ie investors repeating the same position at the current state of the floating loss and the first position left open.It can be concluded that to reduce the risk of loss and in order to increase the profit earned in investing, investors should understand the various methods of managing the risk / loss. The advice can be given by the writer so that the investor can be avoided from the finance loss and get more profit are giving the technical training for the broker to increase their skill of trading, prepare the equipment asthe trade supporting facilities and hold some competition so that we can choose the best broker in everymonth Keywords: Forex, Risk Management

    Item Type: Thesis (Other)
    Subjects: H Social Sciences > HD Industries. Land use. Labor > HD61 Risk Management
    Divisions: Fakultas Ekonomi
    Fakultas Ekonomi > D3 - Manajemen Perdagangan
    Depositing User: azaria nur fadhillah
    Date Deposited: 27 Nov 2015 22:41
    Last Modified: 27 Nov 2015 22:41
    URI: https://eprints.uns.ac.id/id/eprint/22052

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