Claim Missing Document
Check
Articles

Found 17 Documents
Search

ANALYSIS OF OPTIMIZATION OF DI. YOGYAKARTA REGIONAL PROPERTY ASSETS IN KALIURANG AREA Muhammad Safar Nasir; Firsty Ramadhona Amalia Lubis
Riset Ekonomi Pembangunan Vol 6, No 1 (2021): April 2021
Publisher : Universitas Tidar

Show Abstract | Download Original | Original Source | Check in Google Scholar | DOI: 10.31002/rep.v6i1.1721

Abstract

The importance role of BMD (regional-owned assets) in supporting local governance, make its management becomes one of the indicators of the success of Regional Medium-Term Development Plan (RPJMD) DIY 2017-2022, with indicator: optimalization of local government assets with the enhancement of regional asset management effectivity, through the employment and cooperation with third party. Based upon that matter, strategic stages are required in the implementation of regional property assets management. As strategic step in optimalization and effectivity enhancement efforts in such management, comprehensive study is compulsory towards current utilized BMD or the idle BMD owned by DI. Yogyakarta local government, particularly for strategic BMD. From the analysis of Benefit Cost Ratio, it is indicated that the entire BMD assets, which become the object of the research, spend higher cost than the revenue. It demonstrates the non-optimal employment. From SWOT analysis, it can be identified that the advantage of designated BMD assets is on their utilization for tourism, hence the integrated asset management is required.
Analisis Financial Technology dan Demografi Terhadap Tingkat Pengelolaan Keuangan Rumah Tangga Rifki Khoirudin; Firsty Ramadhona Amalia Lubis
Ekonomikawan: Jurnal Ilmu Ekonomi dan Studi Pembangunan Vol 21, No 1 (2021)
Publisher : UNIVERSITAS MUHAMMADIYAH SUMATERA UTARA

Show Abstract | Download Original | Original Source | Check in Google Scholar | DOI: 10.30596/ekonomikawan.v21i1.5687

Abstract

One of the business operations that has begun to transform into digital is the financial or financial sector. This also affects people's behavior in using fintech. The purrpose of this study was to anallyze the tendency of changes in household financial management behavior. The reseaarch method used was the Ordinal logit regression analysis. The anallysis tool used is SPSS 25.0. The research data used is primary data with the type of cross section data. Samples were taken from 4 districts and 1 city located in the Province of Yogyakarta, Yogyakarta Special Region. The number of respondennts in this study were 102 respondents. The sampling method used was purposive sampling. The results of the study level of household financial management among the people of Yogyakarta is relatively good. Partially, age and education variables do not have a significant effect on the level of household financial management. The interesting thing that was found in this study was the variable use of fintech services did not have a significant effect on the level of household financial management. This means that easy access to finance through sophisticated financial technology does not make someone more consumptive. Profession variable has a negative and significant effect on the level of household financial management.
Analisis Rasio NIM, BOPO, NPL dan LDR terhadap ROA Bank Rakyat Indonesia Tahun 2009-2020 Restu Hidayat; Firsty Ramadhona Amalia Lubis; Agus Salim
Jurnal Simki Economic Vol 5 No 1 (2022): Volume 5 Nomor 1 Tahun 2022
Publisher : Universitas Nusantara PGRI Kediri

Show Abstract | Download Original | Original Source | Check in Google Scholar | DOI: 10.29407/jse.v5i1.130

Abstract

ROA is scale used to calculate bank effectiveness because Return On Assets (ROA) is an important one for calculating profits by utilizing assets owned by a bank. So analyzing the effect of the ratio of Net Interest Margin (NIM), Operating Costs to Operating Income (BOPO), Loan To Deposit Ratio (LDR), and Non-Performing Loans (NPL) on the Return On Assets (ROA) of Bank Rakyat Indonesia is very important to see the level of the health of the bank and the bank's profit. The data used is Bank Rakyat Indonesia from 2009-2020. The results showed that the BOPO and LDR variables had a positive effect on ROA, while the NIM and NPL variables had a negative effect on ROA. The analytical tool used in this research is the Vector Error Correction Model (VECM).
Roadmap Pemanfaatan Barang Milik Daerah Sebagai Strategic Of Asset Management Dalam Pedoman Kebijakan Aset Daerah Pada Pemerintahan Daerah Istimewa Yogyakarta Sri Wahyuni; Firda Diartika; Catur Budi Nugraha; Firsty Ramadhona Amalia Lubis
Jurnal Manajemen Aset dan Penilai Vol. 1 No. 1 (2021)
Publisher : Lembaga Riset dan Pengembangan MAPPI

Show Abstract | Download Original | Original Source | Check in Google Scholar | DOI: 10.56960/jmap.v1i1.12

Abstract

Barang milik daerah merupakan aset yang bernilai tinggi apabila dimanfaatkan secara optimal. Pemanfaatan aset tersebut dapat digunakan untuk menggerakkan perekonomian daerah. Pengelolaan BMD secara optimal harus didukung dengan adanya perencanaan pengelolaaan yang spesifik dan terukur. Oleh karena itu diperlukan sebuah perencanaan berupa peta jalan yang dapat dijadikan pedoman oleh berbagai pemangku kepentingan terutama pemerintah daerah yang berkaitan secara langsung dengan pengelolaan BMD. Tujuan dari kajian ini adalah menyusun peta jalan (roadmap) pemanfaatan Barang Milik Daerah beserta rencana keja rinci pemanfaatan barang milik daerah tahunan selama lima (5) tahun. Metode penelitian yang digunakan adalah penelitian kualitatif deskriptif. Metode pengumpulan data menggunakan survei primer melalui kuesioner. Analisis data menggunakan metode pairwise comparison atau AHP (Analytical Hierarchy Process). Pada kajian ini metode AHP digunakan untuk memilih program prioritas yang dituangkan dalam roadmap pemanfaatan BMD selama 5 tahun ke depan (2020-2024). Berdasarkan hasil analisis, didapatkan kesimpulan berupa roadmap pemanfaatan BMD selama 5 tahun berisikan program prioritas dan agenda yang dirinci setiap tahunnya yaitu pada tahun ke-1 (2020) program prioritas dimulai dengan Inventarisasi BMD, tahun ke-2 (2021) dilakukan Penilaian Potensi Aset BMD, tahun ke-3 (2022) dilakukan Pembuatan Dokumen Rencana Pemanfaatan BMD, tahun ke-4 (2023) dilakukan Optimalisasi Pemanfaatan BMD, dan tahun ke-5 (2024) dilakukan Pengukuran Kinerja Pemanfaatan BMD. Saran untuk pemangku kepentingan yang berkaitan dengan urusan pemanfaatan BMD sebaiknya merujuk pada roadmap pemanfataan BMD yang telah disusun.
Analysis of Factors Affecting Regional Original Revenue In Nusa Tenggara Timur (2015-2020) Yoseph Nanda Fahriza N; Firsty Ramadhona Amalia Lubis; Nurul Azizah Az zakiyyah
EKO-REGIONAL Vol 17, No 2 (2022)
Publisher : Jurusan Ilmu Ekonomi dan Studi Pembangunan Universitas Jenderal Soedirman

Show Abstract | Download Original | Original Source | Check in Google Scholar | DOI: 10.32424/1.erjpe.2022.17.2.2970

Abstract

Regional Original Revenue, namely revenue obtained from various sources located in the region, is collected and managed by the regional government based on the applicable Constitution. The position of East Nusa Tenggara Province's Original Regional Revenue ranks 24th out of a total of 34 provinces. Therefore, the purpose of this study is to analyze the effect of Government Expenditure, GDRP, Total Population, Number of Hotels, and Number of Restaurants on Regional Original Revenue in 22 Regencies/Cities of East Nusa Tenggara Province in 2015-2020. This research uses panel data method, and uses STATA analysis tool. The results of this study indicate that the best model chosen is the Random Effect Model. The GDRP and Population Variables have no significant effect on Regional Original Income. While the variables of Government Expenditure, Number of Hotels and Number of Restaurants have a positive and significant effect on Regional Original Income in the Province of East Nusa Tenggara.
Comparative Trade Analysis Between Indonesia and Organization Islamic Country Nurul Azizah Az zakiyyah; Indanazulfa Qurrota A'yun; Firsty Ramadhona Amalia Lubis
Islamic Economics Journal Vol 8, No 2 (2022)
Publisher : University of Darussalam Gontor

Show Abstract | Download Original | Original Source | Check in Google Scholar | Full PDF (1312.224 KB) | DOI: 10.21111/iej.v8i2.7316

Abstract

Globalization that took place in the last few decades has caused various changes in the world economic order. This effort was also carried out by Muslim countries with the aim of improving economic relations and coordination at the regional level so that the Organization of Islamic Cooperation (OIC) was formed. This study analyzes the comparative advantage and trade patterns between Indonesia and the OIC countries which are limited by 10 OIC member countries which have the largest average export value from Indonesia over the last ten years. These countries include Bangladesh, Iran, Malaysia, Nigeria, Egypt, Pakistan, Jordan, Saudi Arabia, Turkey and the United Arab Emirates. Data analysis in this study uses a quantitative approach. In this study, statistical software tools will be used, namely Microsoft Excel to calculate RCA, RSCA and also trading patterns of the 10 OIC countries with the largest trade volume, Indonesia tends to have a comparative advantage in products of Animal or vegetable fats and oils and their cleavage (HS 15) and Man-made staple fibers (HS 55) where these products are products that have a comparative advantage in the ten countries. Indonesia managed to maintain the same comparative advantage in 2005 and 2020 against the United Arab Emirates (UAE) where the superior product group in those 2 years was exactly the same and only changed its ranking position.
Analisis Financial Deepening Terhadap Pertumbuhan Ekonomi Indonesia Tahun 2008-2021 Ary Maulidin; Firsty Ramadhona Amalia Lubis
Jurnal Ekonomi-Qu Vol 12, No 2 (2022): Jurnal Ekonomi-Qu
Publisher : FEB Universitas Sultan Ageng Tirtayasa

Show Abstract | Download Original | Original Source | Check in Google Scholar | DOI: 10.35448/jequ.v12i2.17497

Abstract

Financial Deepening merupakan suatu upaya peningkatan pada sektor keuangan untuk menurunkan ketergantungan pada tabungan luar negeri. upaya yang dilakukan dengan meningkatkan volume lembaga institusi keuangan dan jumlah instrumen yang tersedia di pasar serta meningkatkan kuantitas pelayanan. Tujuan dari penelitian ini untuk mengetahui pengaruh rasio jumlah uang beredar, inflasi, rasio kredit perbankan dan rasio tabungan domestik terhadap pertumbuhan ekonomi baik dalam jangka pendek maupun jangka panjang. Secara empiris penelitian ini menggunakan data sekunder berupa data tahunan kuartalan selama tahun 2008Q1- 2021Q4. Penelitian ini menggunakan metode Vector Error Correction Model (VECM). Berdasarkan hasil penelitian variabel rasio jumlah uang beredar baik dalam jangka pendek maupun jangka panjang berpengaruh positif dan signifikan, variabel rasio kredit perbankan dalam jangka panjang maupun pendek berpengaruh positif dan signifikan sedangkan, variabel rasio tabungan domestik dan inflasi dalam jangka pendek maupun jangka panjang memiliki pengaruh tidak signifikan terhadap pertumbuhan ekonomi di Indonesia.
PENYERAPAN TENAGA KERJA DI SUMATERA UTARA TAHUN 2016-2020 FIRSTY RAMADHONA AMALIA LUBIS; AGNES LINTANG KUSWARI; NURUL AZIZAH AZ ZAKIYYAH
JURNAL ILMIAH KOHESI Vol 6 No 3 (2022): JURNAL ILMIAH KOHESI
Publisher : LP2MTBM MAKARIOZ

Show Abstract | Download Original | Original Source | Check in Google Scholar

Abstract

Regional Original Income is also a factor that has an influence on employment absorption. PAD can be used as a measure to assess regional economic conditions and community welfare. The number of workforce is the highest compared to the provinces on Sumatra Island in 2016-2020, of course North Sumatra Province also requires a larger number of jobs. The research objective was to analyze the relationship between employment and several independent variables, namely GRDP, UMK, PAD, and population. This research was conducted in 30 regencies and cities in North Sumatra Province in the period 2016 - 2020. The results of this study indicate that the best model used is the Fixed Effect Model. The results showed that the GRDP variable had a positive and significant effect on employment absorption. The UMK, PAD, and population variables have no significant effect on employment.
FAKTOR MAKRO EKONOMI TERHADAP NILAI EKSPOR NON MIGAS ERICHA PERMATASARI; FIRSTY RAMADHONA AMALIA LUBIS
JURNAL ILMIAH KOHESI Vol 6 No 3 (2022): JURNAL ILMIAH KOHESI
Publisher : LP2MTBM MAKARIOZ

Show Abstract | Download Original | Original Source | Check in Google Scholar

Abstract

Indonesia has an engine of economic growth that comes from oil and gas exports and non-oil and gas exports which are sectors that can affect the Indonesian economy. The aim is to analyze how long-term and short-term macroeconomic factors influence, namely Interest Rates, Inflation, WPI Index, Exchange Rate on Non-Oil and Gas Exports. The data used is a time series and data taken from 2009 to 2019 and sourced from the official website of Bank Indonesia (BI) and the Central Statistics Agency (BPS). The data obtained was processed using the Eviews 9 analysis tool and the method used is the Vector Error Correction Model (VECM) method. The test results show different effects in the long and short term for interest rate variables, inflation, Wholesale Price Index, Exchange Rate on Non-Oil and Gas Exports.
Comparative Trade Analysis Between Indonesia and Organization Islamic Country Nurul Azizah Az zakiyyah; Indanazulfa Qurrota A'yun; Firsty Ramadhona Amalia Lubis
Islamic Economics Journal Vol. 8 No. 2 (2022)
Publisher : University of Darussalam Gontor

Show Abstract | Download Original | Original Source | Check in Google Scholar | Full PDF (1312.224 KB) | DOI: 10.21111/iej.v8i2.7316

Abstract

Globalization that took place in the last few decades has caused various changes in the world economic order. This effort was also carried out by Muslim countries with the aim of improving economic relations and coordination at the regional level so that the Organization of Islamic Cooperation (OIC) was formed. This study analyzes the comparative advantage and trade patterns between Indonesia and the OIC countries which are limited by 10 OIC member countries which have the largest average export value from Indonesia over the last ten years. These countries include Bangladesh, Iran, Malaysia, Nigeria, Egypt, Pakistan, Jordan, Saudi Arabia, Turkey and the United Arab Emirates. Data analysis in this study uses a quantitative approach. In this study, statistical software tools will be used, namely Microsoft Excel to calculate RCA, RSCA and also trading patterns of the 10 OIC countries with the largest trade volume, Indonesia tends to have a comparative advantage in products of Animal or vegetable fats and oils and their cleavage (HS 15) and Man-made staple fibers (HS 55) where these products are products that have a comparative advantage in the ten countries. Indonesia managed to maintain the same comparative advantage in 2005 and 2020 against the United Arab Emirates (UAE) where the superior product group in those 2 years was exactly the same and only changed its ranking position.