Skripsi
Analisis pengaruh illikuiditas, market value, variance of return dan institutional ownership terhadap time horizon investor (holding period) saham-saham LQ 45) (periode 2004 - 2008)
Deskripsi
The Objerctive of the this research is to identify the impact of illiquidity, Market Value, Variance of Return and the characteristic of investor (institutional ownership) to time horizon investment or holding period of common Stock. This research employs Ordinary Least Square method with 14 sample of stock that always listed on LQ 45 from 2004-2008. The result of this research indicates that illiquidity, market value, and institutional ownership are simultaneously and individually give the positif value to time horizon investment or holding period and variance of return is simultaneously and individually give the negatif value to holding period.Ada tabel