IMPLEMENTASI RISK, MONEY MANAGEMENT, DAN STRATEGI INVESTASI TERHADAP VALUE ADDED INVESTOR DENGAN FOREX TRADING

Reessa Stella Listiana Ary, Liliek Nur Sulistiyowati

Abstract


This study is to use forex trading as an intervening variable to find out how PT. Monex Investindo Futures Surabaya Branch handles risk, manages money, and invests for value-added clients. Quantitative research is used as a method in this study and SmartPLS version 4 analysis method, samples of 384 individuals were gathered. The method used for selection was called "purposeful sampling." Interviews, surveys, and written records were used to gather the data. The tests proved all of the study's hypotheses. They showed that risk, money management, and investment methods have a big effect on value-added investors and forex trading. This shows how important these three things are for making the most money and lowering the risk of losing it. These results are an important addition to the body of research on forex investments.

 

Keywords: Risk, Money Management, Investment Strategy, Value added investor, Forex Trading


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