Manajemen Investasi Di Tengah Pandemi COVID-19
Abstract
COVID-19 menyebabkan pukulan di bidang ekonomi lebih dari setahun. Investasi harus dilakukan secara cermat untuk mengurangi kemungkinan kerugian yang akan datang. Keputusan investasi dibuat berdasarkan informasi terbaru. Tulisan ini dibuat dengan tujuan untuk menjelaskan manajemen investasi selama pandemi COVID-19. Tulisan ini merupakan tinjauan pustaka (literature review). Database yang digunakan adalah Science Direct dan Google Scholar. Kriteria inklusi adalah tulisan tinjauan pustaka dan penelitian. Kriteria eksklusi adalah komentar pendek. Hasil menunjukkan bahwa pandemi COVID-19 seharusnya dipandang sebagai suatu cara untuk menguji cara berpikir. Informasi yang berasal dari sumber yang baru lebih baik daripada cara berpikir tradisional. Beberapa faktor terkait dengan pengambilan keputusan berasal dari optimisme, kepanikan di bidang keuangan, keamanan finansial, ketertarikan mengenai finansial, tabungan, dan pemikiran yang cermat. Kesimpulan: manajemen investasi selama pandemi COVID-19 didasarkan pada optimisme keuangan, kecemasan, dan ketertarikan. Informasi terbaru memiliki peranan penting di dalam membentuk manajemen investasi.
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