“BERTAHAN ATAU MUNDUR?”: ANALISIS PERILAKU DAN MINDSET INVESTOR DI TENGAH MARKET CRASH DAN PANASNYA ISU GLOBAL
Jihan Karimatus Sa’diyyah
Universitas Pekalongan
Vivian Jesslyn Joyo
Universitas Pekalongan
Yemima Gabriella
Universitas Pekalongan
Abstrak
This study examines investor behavior and mindset during extreme
market crashes and global uncertainty in the VUCA era (Volatility,
Uncertainty, Complexity, and Ambiguity), with the aim of
understanding how investors respond to intense market pressures such
as the decline of the IHSG in early 2026 following MSCI index
rebalancing. The research employs a quantitative method with
descriptive and explanatory approaches, using primary data collected
from 63 active investors through purposive sampling. The findings
indicate that Indonesian investors demonstrate relatively high
macroeconomic awareness, with 55.6% recognizing economic
instability. Despite market volatility, 58.7% of respondents remained
consistent with their investment strategies, while 50.8% viewed price
declines as opportunities, commonly referred to as “buy the dip.”
Furthermore, the results suggest an improvement in financial literacy,
as investors become more independent, less influenced by FOMO
(44.4%), and better able to manage their emotions, thereby reducing
the likelihood of panic selling. Overall, Indonesian investors show
strong psychological resilience and critical thinking in navigating
market uncertainty.