Keefektifan Manajemen Risiko dan Strategi Investasi terhadap Profitabilitas pada Trading Forex
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Abstract
This study aims to examine the influence of risk management and investment strategy toward profitability of forex trading. This study is a predictive study which uses quantitative method. Data was analyzed by using Structural Equation Modeling (SEM) and optimization of Partial Least Square (PLS) with Smart PLS 4. This study examines risk management and investment strategy as independent variables, and profitability of forex trading as dependent variable. This study suggests that risk management and investment strategy influence profitability of forex trading, although risk management doesn’t influence profitability of forex trading significantly. However, investment strategy, on the other side, influences profitability of forex trading significantly.
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