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PENGARUH DEPRESIASI RUPIAH TERHADAP PERDAGANGAN PASAR MODAL DAN KINERJA IHSG (Studi pada Bursa Efek Indonesia Periode 2013-2017) Achmad Firhan Firzadi; Suhadak Suhadak
Jurnal Administrasi Bisnis Vol 72, No 2 (2019): JULI
Publisher : Fakultas Ilmu Administrasi Universitas Brawijaya

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The purpose of this reasearch is to find out and explain the influence of rupiah depreciation on capital market trading, find out and expalain the influence of rupiah depreciation on performance of Jakarta Composite Index (JCI), find out and expalain the influence of capital market trading on performance of Jakarta Composite Index (JCI). The study was conducted in Indonesia in the period 2004 to 2017. Data was obtained through the Bank Indonesia (BI), Yahoo Finance, and Indo Premier Securities. The type of this research  is explanatory research with a quantitative approach. Data analysis technique using Partial Least Square method by SMARTPLS 3.2.8 application. The results of the research indicate positive significant influence of rupiah depreciation on capital market trading, negative insignificant  influence of rupiah depreciation on performance of Jakarta Composite Index (JCI), positive significant influence of capital market trading on performance of Jakarta Composite Index (JCI). Keywords: Rupiah Depreciation, Capital Market Trading, Performance of Jakarta Composite Index (JCI) АBSTRАK Tujuan penelitian ini adalah mengetahui dan menjelaskan pengaruh depresiasi rupiah terhadap perdagangan pasar modal, mengetahui dan menjelaskan pengaruh depresiasi rupiah terhadap kinerja IHSG, mengetahui dan menjelaskan pengaruh perdagangan pasar modal terhadap kinerja IHSG. Penelitian dilakukan di Negara Indonesia periode 2013 sampai 2017. Data diperoleh melalui Bank Indonesia (BI), Yahoo Finance, dan Indo Premier Sekuritas. Jenis penelitian ini adalah explanatory research dengan pendekatan kuantitatif. Teknik analisis data dalam penelitian ini menggunakan metode Partial Least Square (PLS) dengan menggunakan aplikasi Smart PLS 3.2.8. Hasil penelitian ini adalah terdapat pengaruh positif signifikan antara depresiasi rupiah terhadap perdagangan pasar modal, terdapat pengaruh negatif tidak signifikan pengaruh antara depresiasi rupiah terhadap kinerja IHSG, terdapat pengaruh positif signifikan perdagangan pasar modal terhadap kinerja IHSG. Kata Kunci: Depresiasi Rupiah, Perdagangan Pasar Modal, Kinerja IHSG.
PERBANDINGAN KOMPARATIF TINGKAT KESEHATAN 6 BANK TERBESAR DI INDONESIA DENGAN MENGGUNAKAN PENDEKATAN RGEC (RISK PROFILE, GOOD CORPORATE GOVERNANCE, EARNINGS, AND CAPITAL) (Studi pada 6 Bank Terbesar di Indonesia Periode 2009-2011) Selly Febrianti WP; Suhadak Suhadak; Muhammad Saifi
Jurnal Administrasi Bisnis Vol 61, No 1 (2018): AGUSTUS
Publisher : Fakultas Ilmu Administrasi Universitas Brawijaya

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PT. Bank Mandiri Bank BRI Tbk, PT. Bank BCA, Tbk, PT. Bank BMI Tbk, PT. Bank CIMB Niaga Tbk, and PT. Bank Danamon Tbk. are the six largest banks in Indonesia by assets and their market share. Indonesian Bank, which acts to control the healthy banks in Indonesia, that has issued new regulations in 2011 concerning RGEC approach (Risk Profile, Good Corporate Governance, Earnings, and Capital). The research objective is to determine the level of health and ratings of each bank's ratio using an approach that is focused on factors RGEC Earnings and Capital in the period 2009-2011. The analytical method used is descriptive analysis method with a quantitative approach, by analyzing the earnings factor (Earning) ratio through ROA, NIM, and analyzes of capital (Capital) through the CAR ratio, while the risk factor profile and good corporate governance can not be analyzed because it is the secrets data from each bank. ROA is healthy ifthe percentage is above 1.22%, while the ratio of NIM is healthy if the percentage is aboved 2%. Assessment of Capital factors based on capital adequacy ratio that shows how much all of the assets that contain or generate risk or Capital Adequacy Ratio (CAR). CAR can be said to be healthy if the percentage is above 8%. Having known the value of each ratio, will be warned each Indonesia. Based on the analysis, it can be seen that the value ratio of the six largest banks in Indonesia are the average entry in the first rank with results fluctuating every years. Keywords: Comparative of Health Levels, Six Biggest Banks, RGEC ABSTRAK PT. Bank Mandiri, Tbk, PT. Bank BRI, TBk, PT. Bank BCA, Tbk, PT. Bank BNI, Tbk, PT. Bank CIMB Niaga, Tbk, dan PT. Bank Danamon, Tbk. merupakan enam bank terbesar di Indonesia berdasarkan total aset dan market share yang dimilikinya. Bank Indonesia yang bertindak untuk mengawasi kesehatan bank di Indonesia, menerbitkan peraturan baru pada tahun 2011 tentang pendekatan RGEC (Risk Profile, Good Corporate Governance, Earnings, and Capital). Tujuan penelitian adalah untuk mengetahui tingkat kesehatan dan peringkat rasio masing-masing bank dengan menggunakan pendekatan RGEC yang difokuskan pada faktor Earnings dan Capital dalam periode tahun 2009-2011. Metode analisis yang digunakan adalah metode analisis deskriptif dengan pendekatan kuantitatif, dengan menganalisis faktor rentabilitas (Earning) melalui rasio ROA, NIM, dan menganalisis faktor permodalan (Capital) melalui rasio CAR, sedangkan faktor risk profile dan good corporate governance tidak dapat dianalisis karena merupakan data rahasia dari masing-masing bank. Rasio ROA dikatakan sehat jika prosentasenya diatas 1,22%, sedangkan rasio NIM dapat dikatakan sehat jika prosentasenya diatas 2%. Penilaian terhadap faktor Capital didasarkan pada rasio kecukupan modal yang memperlihatkan seberapa jauh seluruh aktiva yang mengandung atau menghasilkan risiko atau Capital Adequacy Ratio (CAR). Rasio CAR dapat dikatakan sehat jika prosentasenya diatas 8%. Setelah diketahui nilai masing-masing rasio, akan diperingatkan masing-masingnya sesuai dengan ketentuan Bank Indonesia. Berdasarkan hasil analisis, dapat diketahui bahwa nilai masing-masing rasio dari enam bank terbesar di Indonesia ini rata-rata masuk dalam peringkat pertama dengan hasil yang fluktuatif setiap tahunnya. Kata Kunci : Perbandingan Tingkat Kesehatan, Enam Bank Terbesar, RGEC
PENGARUH CORRUPTION DAN ECONOMIC FREEDOM TERHADAP INVESTMENT (Studi pada Negara Indonesia Tahun 2006-2016) Arum Masyitah; Suhadak Suhadak; Ferina Nurlaily
Jurnal Administrasi Bisnis Vol 57, No 2 (2018): APRIL
Publisher : Fakultas Ilmu Administrasi Universitas Brawijaya

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The purpose of this reasearch is to find out and explain the influence of corruption on investmnet, find out and expalain the influence of corruption on economic freedom, find out the economic freedom influence on investment in state of Indonesia. The type of this research is explanatory research with quantitative approach. The data used is from Corruption Eradication Commission (KPK), Heritage Foundation, Bank Indonesia, and Capital Investment Coordinating Board (BKPM) with uses time series data of corruption, economic freedom and investment Indonesia during the periods of 2006-2016 with 11 observations for sample. Data analysis technique using Partial Least Square by SmartPLS 3.2.7 application. The result of the research indicate : insignificant influence of corruption towards investment, significant influence of corruption to economic freedom, significant between economic freedom towards investment. Keyword : Corruption, Economic Freedom, Foreign Direct Investment, Domestic Direct Investment ABSTRAK Tujuan penelitian ini adalah untuk mengetahui dan menjelaskan pengaruh Corruption terhadap Investment, Corruption terhadap Economic Freedom, pengaruh Economic Freedom terhadap Investment pada Negara Indonesia. Jenis penelitian ini adalah explanatory research dengan pendekatan kuantitatif. Sumber data berasal dari Komisi Pemberantasan Korupsi (KPK), Heritage Foundation, Bank Indonesia, dan BKPM dengan menggunakan data time series dari Corruption, Economic Freedom dan Investment Negara Indonesia periode tahun 2006-2016 dengan jumlah sampel sebanyak 11 pengamatan. Teknik analisis data menggunakan Partial Least Square (PLS) dengan menggunakan aplikasi SmartPLS 3.2.7. Hasilnya menujukkan bahwa tidak terdapat pengaruh signifikan antara Corruption terhadap Investment, terdapat pengaruh signifikan antara Corruption terhadap Economic Freedom, terdapat pengaruh signifikan antara Economic Freedom terhadap Investment. Kata Kunci : Korupsi, Kebebasan Ekonomi, Investasi Asing Langsung, Investasi Domestik Langsung
PENGARUH RISIKO VALUTA ASING DAN RISIKO PASAR TERHADAP PROFITABILITAS (StudipadaBank Devisa yang Terdaftar di BEI Periode 2013-2015) Audy Varadigna; Suhadak Suhadak
Jurnal Administrasi Bisnis Vol 47, No 1 (2017): JUNI
Publisher : Fakultas Ilmu Administrasi Universitas Brawijaya

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This research purpose to test the impact of foreign exchange risk and market risk to profitability with study of foreign exchange bank which listed in BEI period 2013-2015. Foreign exchange risk is proxied using Non Performing Loan (NPL), Net Open Position (PDN), and Minimum Reserves Requirement (GWM) Foreign Exchange, and market risk is proxied using Capital Adequency Ratio (CAR), while profitability is measured using Return On Asset (ROA), Return On Equity (ROE), Net Interest Margin (NIM). The method of analysis the data used in this research is using Partial Least Square (PLS). This research was conducted on 12 banks that became the sample of research taken using purposive sampling method. The type of research used in this research is explanatory research with quantitative approach.The results of this research indicate that only foreign exchange risk to market risk has a significant positive effect, while for testing the effect of market risk on profitability and foreign exchange risk on profitability there is no significant effect. Keywords : Foreign Exchange Risk, Market Risk, and Profitability АBSTRАK Penelitian ini memiliki tujuan untuk menguji pengaruh risiko valuta asing dan risiko pasar terhadap profitabilitas dengan studi pada bank devisa yang terdaftar di BEI periode 2013-2015. Risiko valuta asing diproksikan dengan menggunakan Non Performing Loan (NPL), Posisi Devisa Neto (PDN), dan Giro Wajib Minimum (GWM) Valuta Asing, serta risiko pasar diproksikan dengan menggunakan Capital Adequency Ratio (CAR), sedangkan profitabilitas diukur dengan menggunakan Return On Asset (ROA), Return On Equity (ROE), Net Interest Margin (NIM). Metode analisis data yang digunakan dalam penelitian ini adalah menggunakan Partial Least Square (PLS). Penelitian ini dilakukan terhadap 12 bank yang menjadi sampel penelitian yang diambil menggunakan metode purposive sampling. Jenis penelitian yang digunakan dalam penelitian ini yaitu penelitian eksplanatori dengan pendekatan kuantitatif. Hasil penelitian ini menunjukkan bahwa hanya risiko valuta asing terhadap risiko pasar yang berpengaruh signifikan positif, sedangkan untuk pengujian pengaruh antara risiko pasar terhadap profitabilitas dan risiko valuta asing terhadap profitabilitas tidak terdapat pengaruh yang signifikan. Kаtа Kunci : Risiko Valuta Asing, Risiko Pasar, dan Profitabilitas
IMPLEMENTASI KURIKULUM PENDIDIKAN AGAMA ISLAM MELALUI PROGRAM KEGIATAN EKSTRAKURIKULER KEAGAMAAN DI SMAN 1 PURWODADI KABUPATEN MUSI RAWAS Suhadak Suhadak
Al-Bahtsu : Jurnal Penelitian Pendidikan Islam Vol 1, No 2 (2016): DESEMBER
Publisher : IAIN Bengkulu

Show Abstract | Download Original | Original Source | Check in Google Scholar | Full PDF (433.145 KB) | DOI: 10.29300/btu.v1i2.438

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This research was motivated by the fact that the learning outcomes of Islamic education is not optimal, it is expectedto strengthen Islamic education with better religious extracurricular activities.This study aimed at describing Islamic EducationCurriculum Implementation Through religious Extracurricular activities program at SMAN 1 Purwodadi Musi Rawas Which isconsisting of program and implementation, The Implementation and determination of the supporting factors and thus becomemore directed to realize the vision and mission of the school. Method and the type of the research is descriptive qualitative.Subjects were principals, teachers and students of Islamic religious education class x that is active in religious eksrakurikulerSpiritual Islam. Data collection techniques used in this research were observation, interviews, and documentation. Data analysisis done by reducing the data (data reduction), data presentation (display data), and conclusion (Verification Data). Testingthe validity of the data using observations extension, increase endurance, and triangulation of data. Based on the results, itcan be concluded that there are two results about How Curriculum Implementation PAI through religious extracurricularactivities program in SMA Negeri 1 PurwodadiMusi-Rawas namely: The implementation of curriculum development at PAIbasedon extracurricular activity is by designing some of the programs that the program is considered to be able to cover thepurposes of education PAI generally or specifically private lodging which these objectives can not be achieved through theactivities of teaching (Teaching and Learning) in the class in which the time of these activities are very limited. The activitieincludes such things as nasyid activities, peer tutoring, tahsinqiroah, qiroatul quran and many other activities that researchersconsider it as a manifestation of Islamic Religion educational purposes in schools.The activity is really manageable neatly andinvolves several important elements that will make this event run effectively. And of the way of the success of these activitiesaccording to the researchers is the existence of solid team work, even though this is an activity of PAI teacher but the entirestakeholders fully involved in this case. That is one reason why these activities go well.