2024
DOI: 10.61397/mfc.v1i3.117
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Portfolio Diversification Strategy and Its Influence on Investment Risk and Return in the Capital Market

Musran Munizu,
Sri Mulyati,
Nilufar Zikirullaeva

Abstract: The objective of this study is to examine the impact of diversification methods on the risk and return of investments in the capital market. The employed research methodology is qualitative research, which is a strategy utilized to gain a comprehensive understanding of social phenomena. This research methodology involves conducting a comprehensive examination and analysis of relevant written sources, such as books, journals, articles, and documents, to gather information pertaining to the specific topic or tit… Show more

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