Model Perlindungan Investor Ritel di Pasar Modal Indonesia dengan Menggunakan Variable Kelayakan Investor, Pengawasan Market Conduct dan Struktur Penyelenggara Pasar Modal

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Keywords:

Retails Investors, Capital Markets, Regulation, Market Conduct

Abstract

Retail investors in the Indonesian capital market are currently dominated by Gen Z who generally lack experience in determinating the right investment strategy. In addition, regulations and implementation of capital market regulations that do not favor retail investors increasingly make retail investors vulnerable to losing their capital. This research aims to analyze the retail investor protection model in the Indonesian  capital market with the variables of investor suitability, market conduct supervision and the structure of capital market administrators. The research method used is a literature study by analyzing secondary data published in journals and reports as well as analyzing cases that occurred in the Indonesian capital market. The research coclusion is that eforts to provide protection to  retail investors need to be carried out dynamically and comprehensively so that investors feel safe when investing in the Indonesian capital market.

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Published

2024-12-18

How to Cite

Model Perlindungan Investor Ritel di Pasar Modal Indonesia dengan Menggunakan Variable Kelayakan Investor, Pengawasan Market Conduct dan Struktur Penyelenggara Pasar Modal. (2024). Journal of Management, Economics, and Entrepreneur, 3(2), 305-317. https://ejournal.iainu-kebumen.ac.id/index.php/maen/article/view/2470