Dampak Strategi Manajemen Kas, Diversifikasi Portofolio, dan Volatilitas Suku Bunga Terhadap Keputusan Investasi Surat Berharga
DOI:
https://doi.org/10.59086/jam.v4i2.847Keywords:
Manajemen Kas, Diversifikasi Portofolio, Volatilitas Suku Bunga, Keputusan InvestasiAbstract
This study aims to evaluate the extent to which cash management strategies, portfolio diversification, and interest rate volatility affect investment decisions for securities, especially agro-food companies listed on the Indonesia Stock Exchange during the 2021-2024 period. The decision to invest is a key element in financial management because it is related to determining the allocation of long-term funds that can affect the overall value of the company. We utilize secondary data from financial reports on the Indonesia Stock Exchange and Bank Indonesia interest rates. The analysis method used is quantitative with the aim of testing the relationship between variables. These findings are expected to be a reference for financial managers, to help make investment decisions that consider the balance between risk and potential returns, and provide strategic insights for companies in designing more optimal investment policies in the financial market.
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Copyright (c) 2025 Andini Putri Bandiah, Mahesa Mahesa, Faiqotun Nikmah Irsyani, Hana Putri Zoe, Maria Yovita R. Pandin

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