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ANALISIS QSPM UNTUK MENENTUKAN STRATEGI PENGEMBANGAN EKONOMI SYARIAH KOTA KEDIRI Mubarrok, Ujang Syahrul; Kurniawati, Endah; Akbar, Taufik
An-Nisbah: Jurnal Ekonomi Syariah Vol 5, No 1 (2018): An-Nisbah
Publisher : IAIN Tulungagung

Show Abstract | Download Original | Original Source | Check in Google Scholar | DOI: 10.21274/an.2018.5.1.376-398

Abstract

Perkembangan ekonomi Islam di Indonesia mengalami kemajuan yang positif. Hal ini juga terjadi di Kota Kediri yang ditandai dengan berdirinya kantor cabang bank syariah, asuransi syariah dan institusi pendidikan yang membuka jurusan ekonomi Islam. Namun demikian, perkembangan ekonomi Islam di Kota Kediri seperti jalan di tempat. Oleh karena itu, dibutuhkan strategi pengembangan sistem ekonomi Islam di Kota Kediri. Berdasarkan  latar belakang masalah di atas, penelitian ini difokuskan pada pencarian strategi pengembangan ekonomi Islam di Kota Kediri. Teknik pengumpulan data pada penelitian ini menggunakan observasi, interview, dokumentasi, dan studi pustaka. Sumber data tidak ditentukan jumlahnya melainkan berdasarkan snowbal sampling. Pemilihan sumber data atau subjek-subjek penelitian akan berlangsung secara bergulir sesuai kebutuhan hingga mencapai kejenuhan. Analisis data dalam penelitian ini menggunakan analisis SWOT (Strength, Weakness, Opportunities, Threaths) untuk menentukan stratetegi-strategi pengembangan sistem ekonomi dan bisnis Islam di Kota Kediri berdasarkan kekuatan, kelemahan, peluang dan ancaman yang ada di Kota Kediri. Penentuan strategi terbaik dilakukan dengan analisis quantitative strategic planning matrix (QSPM). Strategi yang dihasilkan dari pnelitian ini adalah memperkuat peran stakeholder ekonomi syariah Kota Kediri, sosialisasi dan edukasi, regulasi dan kebijakan Pemkot Kediri dan pengembangan produk ekonomi syariah.
Analisis Hubungan Kausalitas antara PDB, Impor, FDI dan Utang Luar Negeri di Indonesia Akbar, Taufik
Eksis: Jurnal Riset Ekonomi dan Bisnis Vol. 13 No. 2 (2018): Oktober - Maret
Publisher : STIE PGRI Dewantara Jombang

Show Abstract | Download Original | Original Source | Check in Google Scholar | Full PDF (334.946 KB) | DOI: 10.26533/eksis.v13i2.267

Abstract

Tujuan dari penelitian ini adalah untuk menguji hubungan kausalitas dan kointegrasi antara PDB, impor, penanaman modal asing, serta utang luar negeri di Indonesia dengan menggunakan data sekunder berbentuk time series periode tahun 2004-2015. Penelitian ini bersifat deskriptif kuantitatif dengan menggunakan metode multivariat Johansen Co-Integration dan Granger Causality dalam kerangka Vector Autoregressive (VAR) menggunakan Eviews. Hasil uji Granger-Causality menunjukkan bahwa tidak terdapat hubungan kausalitas antar variabel, namun terdapat hubungan satu arah, yang meliputi impor barang modal ke impor bahan baku dan bahan penolong, impor bahan baku dan bahan penolong ke penanaman modal asing, impor barang modal ke penanaman modal asing, serta utang luar negeri ke penanaman modal asing. Selain itu, berdasarkan hasil uji kointegrasi menggunakan Johansen Co-Integration test menunjukkan bahwa variabel-variabel yang diteliti terkointegrasi, sehingga digunakan VECM dalam permodelan untuk mengetahui hubungan jangka panjang antara variabel-variabel yang tidak stasioner.  
Sentimen Bisnis dan Konsumen dalam Siklus Ekonomi Indonesia Taufik Akbar; Edi Murdiyanto; Anita Sumelvia Dewi
Jurnal Manajemen dan Inovasi (MANOVA) Vol. 5 No. 1 (2022): Januari
Publisher : Program Studi Manajemen Fakultas Ekonomi dan Bisnis Islam Universitas Islam Negeri Sunan Ampel Surabaya

Show Abstract | Download Original | Original Source | Check in Google Scholar | DOI: 10.15642/manova.v5i1.727

Abstract

This research aims to find out the relationship between consumer confidence, business confidence, consumer price index, and composite stock price index in Indonesia because the indicator describes a country's economic cycle as a result of sentiment that occurs. Quantitative descriptive research using multivariate methods of cointegration and granger causality within the VECM statistical framework. The period of the study is from 2015 – 2020. VECM estimation shows that in the long term there is a positive relationship pattern between CCI and itself. Then PMI shows a pattern of positive relationships, while CPI and JCI show negative relationships. Only PMI variables have a significant effect on the CCI in the long run. Then in the short term, PMI has a positive relationship pattern and has a significant influence on CCI and JCI in lags 1 and 2, and has a significant influence on CPI in lag 2. JCI has a positive and significant relationship pattern to CCI and CPI in lag 2. This research still does not discuss the dynamic behavior of the VECM model through the response of each variable to the shock of other variables and forecasting how the response of a variable in the future if a shock occurs in other variables. Governments and central banks must be able to reduce market panic and build a level of public trust. It can be said that optimism from the point of view of the business world and consumers needs to be maintained by stakeholders, especially governments and central banks.
Analisis Pembentukan Portofolio Optimal dengan Menggunakan Model Indeks Tunggal (Studi pada Saham LQ45 Periode 2014-2016) Taufik Akbar; Wiyuda Hadi Pratama
JMK (Jurnal Manajemen dan Kewirausahaan) Vol 4 No 2 (2019): Mei
Publisher : Universitas Islam Kadiri

Show Abstract | Download Original | Original Source | Check in Google Scholar | Full PDF (373.834 KB) | DOI: 10.32503/jmk.v4i2.489

Abstract

The purpose of this study is to find out the optimal portfolio stocks formed through the Single Index Model. The research method used in this study is a descriptive research method with a quantitative approach. While the sampling technique uses a purpose sampling technique, with the criteria of stocks entering LQ45 during 2014-2016 respectively. The population contained in this study were 58 shares, and 33 samples were taken. The results of the analysis show that the stocks included in the optimal portfolio category are only 8 shares with the proportion of funds being WSKT 33.18%, PTPP 22.74%, AKRA 7.51%, GGRM 9.57%, TLKM 19.63%, UNVR 4, 65%, PWON 2.42%, and ADRO 0.31%. Based on the optimal stock calculation formed, the portfolio expected return is 0.0364 and portfolio risk is 0.0010.
Digitalisasi sebagai upaya adaptif industri pasar modal di era disruption: dampak pada eksistensi WPPE di masa pandemi Covid-19 Edi Murdiyanto; Taufik Akbar; Ati Retna Sari
MBR (Management and Business Review) Vol 5 No 2 (2021): Desember
Publisher : Fakultas Ekonomika dan Bisnis, Universitas Kanjuruhan Malang, Indonesia

Show Abstract | Download Original | Original Source | Check in Google Scholar | DOI: 10.21067/mbr.v5i2.5741

Abstract

This research is based on the number of securities companies that have begun to focus on the phenomenon of their business on online services, both online account opening and online trading media transactions as an effort to adapt to the current disruption. The research was conducted with a qualitative approach, by triangulating research data. Not all data were obtained in full due to limited access obtained by researchers. From the results of the study, there was an increase in the number of investors in the capital market during the COVID-19 pandemic. On the other hand, there is a decrease in the number of securities companies that are members of the stock exchange, as well as the WPPE licensed brokerage profession which is facing serious challenges due to this phenomenon.
ANALISIS RASIO KEUANGAN UNTUK MENGUKUR KINERJA KEUANGAN KOPERASI SEBELUM DAN SAAT PANDEMI PADA PRIMKOP KARTIKA WIRAYUDHA BRIGIF MEKANIS 16/WIRA YUDHA Tsania Nuraida Sania; Edi Murdianto; Taufik Akbar
Jurnal Ekonomi, Bisnis dan Manajemen Vol. 1 No. 3 (2022): September: Jurnal Ekonomi, Bisnis dan Manajemen
Publisher : FEB Universitas Maritim Semarang

Show Abstract | Download Original | Original Source | Check in Google Scholar | Full PDF (921.874 KB)

Abstract

Abstract. This study aims to find out and analyze whether there are differences in financial performance before and after Covid-19 at Primkop Kartika Wira Yudha Mechanical Brigif 16/Wira Yudha in the 2018-2021 period. The sampling technique in this research is to use the technique of collecting financial report data documentation. Sampling in this study is the financial statements of Primkop Kartika Wira Yudha Brigif Mekanis 16/Wira Yudha. Data obtained through interviews and documentation. The data analysis technique used is quantitative descriptive analysis, difference test and Wilcoxon test. The financial ratios used are Current Ratio, Quick Ratio, Cash Ratio, ROA and ROE. The results of the study indicate that there is no significant difference between the Current Ratio (X1), Quick Ratio (X2), Cash Ratio (X3), ROA (X4) and ROE (X5) before and during the Covid-19 pandemic. This is because the company is still effective in managing company assets during the Covid-19 period and can still generate net profit for the cooperative Keywords: Covid-19, Current Ratio (X1), Quick Ratio (X2), Cash Ratio (X3), ROA (X4) and ROE (X5) Abstrak. Penelitian ini bertujuan untuk mengetahui dan menganalisis apakah terdapat perbedaan kinerja keuangan sebelum dan setelah adanya Covid-19 pada Primkop Kartika Wira Yudha Brigif Mekanis 16/Wira Yudha pada periode 2018-2021. Teknik pengambilan sample dalam penelitian ini adalah menggunakan teknik pengumpulan dokumentasi data laporan keuangan. Pengambilan sample dalam penelitian adalah laporan keuangan Primkop Kartika Wira Yudha Brigif Mekanis 16/Wira Yudha. Data diperoleh melalui wawancara beserta dokumentasi. Teknik analisis data yang digunakan adalah Analisis Deskriptif Kuantitatif, Uji Beda dan Uji Wilcoxon. Rasio keuangan yang digunakan adalah Current Ratio, Quick Ratio, Cash Ratio, ROA dan ROE. Dari hasil penelitian menunjukkan bahwa tidak ada perbedaan secara seignifikan antara Current Ratio (X1), Quick Ratio (X2), Cash Ratio (X3), ROA (X4) dan ROE (X5) sebelum dan saat pandemi Covid-19. Hal ini disebabkan karena perusaahan masi efektif dalam mengelola aset perusaahan di masa Covid-19 dan juga masih dapat menghasilkan laba bersih pada koperasi. Kata kunci: Covid-19, Current Ratio (X1), Quick Ratio (X2), Cash Ratio (X3), ROA (X4) dan ROE (X5)
Is Sustainability Report Disclosure Implemented Properly? (A Case Study of Companies Listed in Sri-Kehati Index) Taufik Akbar; Edi Murdiyanto
Jurnal Manajemen dan Inovasi (MANOVA) Vol. 6 No. 1 (2023): Januari
Publisher : Program Studi Manajemen Fakultas Ekonomi dan Bisnis Islam Universitas Islam Negeri Sunan Ampel Surabaya

Show Abstract | Download Original | Original Source | Check in Google Scholar | DOI: 10.15642/manova.v6i1.1067

Abstract

This study aims to identify sustainability reports conducted by companies listed in the Sri-Kehati index. This is a qualitative research and the GRI standards are a reference in disclosure. The result of the research shows that there is no guarantee that companies listed in the Sri-Kehati index will make a complete disclosure, especially compliance with GRI standards. Too many aspects or reporting standards should be implemented following global standards such as GRI. Based on SRDI calculation, shows that AKR Corporindo, Perusahaan Gas Negara (PGN), Bank BTN, Cikarang Listrindo, Indofood Sukses Makmur, and Semen Indonesia are classified as companies that make disclosures with the highest GRI index. Meanwhile, companies with low disclosures include Bumi Serpong Damai, Telkom, Jasa Marga, Sido Muncul, PP (Persero), Kalbe Farma, and Adi Sarana Armada.
Pengaruh Kemampuan Kerja, Kepuasan Kerja Dan Lingkungan Kerja Fisik Terhadap Kinerja Karyawan Pada PT. BPR Syariah Artha Pamenang Kediri Elfida Rizqia Eltatiana; Taufik Akbar; Erwin Syahputra
Profit: Jurnal Manajemen, Bisnis dan Akuntansi Vol. 2 No. 4 (2023): November : Profit : Jurnal Manajemen, Bisnis dan Akuntansi
Publisher : UNIVERSITAS MARITIM AMNI SEMARANG

Show Abstract | Download Original | Original Source | Check in Google Scholar | DOI: 10.58192/profit.v2i4.1351

Abstract

The aim of this research is to explain the influence of work ability, job satisfaction and physical work environment on employee performance at PT. BPR Syariah Artha Pamenang Kediri. The research method used is a quantitative method using a questionnaire as research data. This research uses a saturated sampling technique. The population of this study was 32 people and the sample used was all employees, namely 32 respondents. The analysis technique used is multiple linear regression analysis, t test, f test and coefficient of determination (R2). The results of this test can be concluded that the t test results show that the work ability variable partially has a significant positive effect on employee performance with a significant value of 0.003 and a t-count value of 1.753. The job satisfaction variable partially has a significant positive effect on employee performance with a significant value of 0.000 and a t value of 2.347. The physical work environment variable partially has a significant positive effect on employee performance with a significant value of 0.002 and a t value of 1.771. And the results of the f test show that work ability, job satisfaction and the physical work environment have a significant effect on employee performance with a significant value of 0.000 and an F value of 19.889.
ANALISIS TINGKAT KESEHATAN PT BANK CENTRAL ASIA (BCA) SYARIAH MENGGUNAKAN METODE RBBR (RISK BASED BANK RATING) PADA TAHUN 2015-2022 Adelina Dwi Andani; Taufik Akbar; Rafikhein Novia Ayuanti3
Triwikrama: Jurnal Ilmu Sosial Vol. 1 No. 9 (2021): Triwikrama: Jurnal Ilmu Sosial
Publisher : CV SWA ANUGERAH

Show Abstract | Download Original | Original Source | Check in Google Scholar | DOI: 10.6578/tjis.v1i9.339

Abstract

Penelitian ini bertujuan untuk mengetahui dan menganalisis tingkat kesehatan PT Bank Central Asia (BCA) Syariah menggunakan metode RBBR (Risk Based Bank Rating) pada tahun 2015-2022. Indikator yang digunakan terdiri dari Risk Profile yang diukur dengan rasio NPF dan FDR, GCG yang dianalisis berdasarkan Self Assesment PT Bank Central Asia (BCA) Syariah, Earnings yang diukur dengan rasio ROA, ROE dan BOPO, Capital yang diukur dengan rasio CAR. Penelitian ini merupakan jenis penelitian kuantitatif dengan pendekatan deskriptif yang menggunakan data sekunder yang diambil dari PT Bank Central Asia (BCA) Syariah berupa laporan keuangan yang di publikasikan dari tahun 2015-2022.Hasil Penelitian ini menunjukkan bahwa tingkat kesehatan PT Bank Central Asia (BCA) Syariah pada tahun 2015-2022 yang ditinjau dari aspek Risk Profile pada rasio NPF berada pada posisi sangat sehat, sedangkan rasio FDR berada pada posisi cukup sehat. Self assessment pada aspek GCG yang telah dipublikasikan bank berturut-turut berada pada posisi sangat baik. Pada aspek Earnings rasio ROA berada pada posisi cukup sehat, ROE berada pada posisi tidak sehat, sedangkan BOPO berada pada posisi sangat sehat. Sedangkan pada penilaian aspek Capital rasio CAR berada pada peringkat sangat sehat. Berdasarkan hasil penelitian bahwa peringkat komposit tingkat kesehatan PT Bank Central Asia (BCA) Syariah menggunakan metode RBBR (Risk Based Bank Rating) pada tahun 2015-2022 dinayatakan berada dalam peringkat 1 dengan kriteria sangat sehat..
Strategi Keunggulan Kompetitif Penjualan Ikan Lele Pada Raja Lele Lestari Desa Pagu Kecamatan Wates Kabupaten Kediri Muhamad Abdul Ghoni; Moch. Saleh Udin; Taufik Akbar
Journal Economic Excellence Ibnu Sina Vol. 1 No. 3 (2023): September : Journal Economic Excellence Ibnu Sina
Publisher : STIKes Ibnu Sina Ajibarang

Show Abstract | Download Original | Original Source | Check in Google Scholar | DOI: 10.59841/excellence.v1i3.337

Abstract

Competition in business is getting tougher, as evidenced by the variety of products released by business people to survive the competition. Increasingly tight business competition requires companies to have their own competitive advantages. Many consider competitive advantage to be a weapon used by companies in the hope of making the company win over its competitors. Raja Lele Lestari is a business that operates in the field of catfish cultivation in Kediri Regency. This research aims to analyze the Competitive Advantage Strategy of Raja Lele Lestari in increasing sales. This research uses descriptive qualitative methods and SWOT analysis along with the BCG matrix. Data collection was carried out by observation, interviews and documentation. The analysis results obtained in this research show that the analysis shows a very profitable correlation, BCG shows that the company's market share is still low and the SWOT analysis has a SO strategy solution to overcome this which can ultimately support Raja Lele Lestari to reach the peak of competitive advantage.