The Influence of the COVID-19 Pandemic on Stock Market Returns in Indonesia Stock Exchange

被引:32
|
作者
Herwany, Aldrin [1 ]
Febrian, Erie [1 ]
Anwar, Mokhamad [1 ]
Gunardi, Ardi [1 ,2 ]
机构
[1] Univ Padjadjaran, Fac Econ & Business, Dept Management, Jalan Dipatiukur 35, Bandung 40132, Jawa Barat, Indonesia
[2] Univ Pasundan, Dept Management, Fac Econ & Business, Jalan Dipatiukur 35, Bandung 40132, Jawa Barat, Indonesia
来源
关键词
COVID-19; Stock Market Return; Event Studies; Market Model; TIME;
D O I
10.13106/jafeb.2021.vol8.no3.0039
中图分类号
F [经济];
学科分类号
02 ;
摘要
This research aims to confirm if the COVID-19 pandemic has had an impact on existing sectors, and how that affects the Indonesian Stock Exchange (IDX) market returns. The research method used is an event study employing market models in nine sectors of the Exchange with purposive sampling technique, and supported by Ordinary Least Square (OLS) regression. Based on the calculation of abnormal returns in the period of 30 days before up to 30 days after, the financial property, real estate, and construction sector results show a decreased abnormal return value. The infrastructure, utilities, and transportation sectors also show an abnormal return value that tends to be constant, while the abnormal return value increases in other sectors. Judging from the cumulative value of abnormal returns, the most affected sector is financials, followed by the trade, service, and investment sectors. The consumer goods and mining industry sectors are still optimistic, while other sectors show temporary negative sentiment. Overall, the stocks on the Indonesia Stock Exchange (IDX) were affected by the COVID-19 pandemic with a cumulative negative value of the average abnormal return sample. The results using OLS regression also strengthen the relationships between the COVID-19 pandemic, and negative and significant market returns.
引用
收藏
页码:39 / 47
页数:9
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