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TECHNOPRENEURSHIP INTENTION: STUDI KASUS PADA MAHASISWA DIPENGARUHI ENTREPRENEURIAL LEARNING Nurhayati, Dwi; Machmud, Amir; Waspada, Ikaputera
JURNAL EKONOMI PENDIDIKAN DAN KEWIRAUSAHAAN Vol. 8 No. 1 (2020)
Publisher : UNIVERSITAS NEGERI SURABAYA

Show Abstract | Download Original | Original Source | Check in Google Scholar | DOI: 10.26740/jepk.v8n1.p79-92

Abstract

Penelitian ini bertujuan untuk mengetahui dan menganalisis pengaruh entrepreneurial learning terhadap technopreneurship intention mahasiswa. Metode penelitian yang digunakan survei eksplanatori dengan pengujian hipotesis dan teknik pengumpulan data yang digunakan melalui kuesioner. Populasi penelitian yang dipilih adalah 102 mahasiswa dan sampel yang digunakan adalah sampel jenuh. Data yang terkumpul kemudian dianalisis menggunakan teknik regresi. Hasil penelitian menunjukkan bahwa secara keseluruhan entrepreneurial learning mahasiswa dikategorikan efektif dan technopreneurship intention mahasiswa dikategorikan tinggi. Diketahui bahwa variabel entrepreneurial learning berpengaruh terhadap technopreneurship intention mahasiswa dengan koefisien 0,557. Temuan ini menyiratkan bahwa untuk meningkatkan technopreneurship intention mahasiswa, perlu untuk meningkatkan entrepreneurial learning dengan aspek learning through immersion within the industry, opportunity recognition through cultural participation, dan practical theories of entrepreneurial action.Kata Kunci: Technopreneurship Intention, dan Entrepreneur Learning.
Overconfidence and Herding: How These Biases Affect Generation Z Investments Decision Making Yuliawati, Tia; Nugraha, Nugraha; Sari, Maya; Waspada, Ikaputera; Purnamasari, Imas; Hendrayati, Heny; Muhamat, Amirul Afif
Image : Jurnal Riset Manajemen Vol 12, No 1 (2024): Image : Jurnal Riset Manajemen
Publisher : Universitas Pendidikan Indonesia

Show Abstract | Download Original | Original Source | Check in Google Scholar | DOI: 10.17509/image.2024.012

Abstract

The purpose of this study is to understand and analyze the impact of overconfidence bias and herding bias on the investment decisions of Generation Z. This research employs a survey method with a confirmatory approach. Data was collected from a sample of 104 respondents through questionnaires distributed via Google Form. Hypothesis testing was conducted using SEM Analysis with the assistance of SmartPLS 4.0 software. The results of the study indicate that overconfidence bias has a positive and significant influence on the investment decisions of Generation Z, while herding bias does not have a significant influence. Furthermore, this research reveals that the variables of overconfidence bias and herding bias can explain 45.4% of the variation in the investment decisions of Generation Z. However, it is important to acknowledge the limitations of this study, such as the relatively small number of respondents (only 104 respondents) and the absence of comparative analysis with demographic factors of other generational groups (e.g., older generations). This study is expected to provide deeper insights into the investment behavior of Generation Z and serve as a foundation for the development of wiser risk and financial management approaches for this demographic group.
THE IMPACT OF TECHNOLOGICAL PEDAGOGICAL CONTENT KNOWLEDGE (TPACK) ON LEARNING OUTCOMES: A BIBLIOMETRIC REVIEW Simangunsong, Marta Florentina; Waspada, Ikaputera; -, Rasto; Muhammad, Ilham
Jurnal Penjaminan Mutu Vol. 09 No. 02 (2023)
Publisher : UHN IGB Sugriwa Denpasar

Show Abstract | Download Original | Original Source | Check in Google Scholar | DOI: 10.25078/jpm.v9i02.2971

Abstract

This study aims to analyze the research landscape regarding Technological Pedagogical Content Knowledge (TPACK) which is related to learning outcomes, using the bibliometric analysis method. The data used comes from the Scopus database. After going through the four stages of the process (identification, screening, eligibility, and inclusion), 41 relevant data were obtained. The results showed that the most publications related to TPACK and learning outcomes occurred in 2022 with a total of 6 publications. Meanwhile, the most cited publication occurred in 2017 with 267 citations. The United States has had a major influence on TPACK research and study outcomes. The research focus is divided into three main parts, namely 1) engineering and curriculum; 2) teaching and student; and 3) technology integration. Several new themes in this field include self-regulation, children learning, self-assessment, teaching strategies, learning activities and educational computing. However, the TPACK keywords which were the most dominant in the three research focuses were not directly connected with the three new theme keywords, namely self-regulation, children learning, and teaching strategies. By understanding the trends and research focus related to TPACK and learning outcomes, researchers and education practitioners can obtain useful guidance for developing innovative and effective teaching strategies, as well as designing curricula that match students' learning needs. Keywords: bibliometric, learning outcomes, TPACK
Determinants of Firm Value with Conditional Process Model: Evidence from Healthcare Sector Companies in Indonesia Yulandri, Elsa; Sari, Maya; Waspada, Ikaputera
JURNAL AKUNTANSI Volume 19, Nomor 1, Mei 2024
Publisher : Jurusan Akuntansi Fakultas Ekonomi Universitas Siliwangi

Show Abstract | Download Original | Original Source | Check in Google Scholar | DOI: 10.37058/jak.v19i1.8949

Abstract

This study aims to analyze the variables that affect the value of health sector companies in Indonesia, using the conditional process model with variables of Intellectual capital, IOS, DPR, Leverage, and firm size. The research method used is a descriptive method with a non-experimental quantitative approach. The population of this study was 30 health sector companies indexed on the IDX-IC Indonesia Stock Exchange. Furthermore, using a purposive sampling technique with the main criteria, nine companies were obtained as samples. Important findings in this study are that IOS is a predictor that has the strongest relative total effect on firm value, and IOS also plays a role in mediating the effect of intellectual capital and firm size on firm value. Next, leverage is found to moderate the effect of IOS on firm value positively. IOS optimization is influenced by intellectual capital. Thus, health sector companies must improve and manage intellectual capital well. Health sector companies can maximize their debt to invest in new products or expand the production of existing products. This provides theoretical implications for the firm value literature, where mediation and moderation models using IOS and Leverage in this research context are still limited.
Comparison of Tourism and Hospitality Industry Financial Performance Before and After COVID-19: A Systematic Literature Review Nurwitasari, Ayu; Waspada, Ikaputera; Sari, Maya
NHI HOSPITALITY INTERNATIONAL JOURNAL Volume 1 No 2 (2023)
Publisher : Politeknik Pariwisata NHI Bandung

Show Abstract | Download Original | Original Source | Check in Google Scholar | DOI: 10.34013/nhij.v1i2.950

Abstract

Purpose of the study: The COVID-19 pandemic has made the tourism sector unstable, where during the COVID-19 pandemic, the tourism industry faced several risks such as decreased revenue and operating profits, this decline certainly affected the company's financial performance. This study aims to explore and describe the trends and evolution of the latest academic literature on the financial performance of the tourism industry before and after the COVID-19 pandemic which were published as relevant articles. Design/methodology: This study uses the concept of literature review using the Systematic Literature Review (SLR) technique. The Systematic Literature Review technique is an important feature of academic research. By summarizing, analyzing, and synthesizing a group of related literature, can test certain hypotheses and/or develop new theories. Findings: The results of the study show that the financial performance of the tourism industry before and after COVID-19 is dominant using profitability ratio measurements. Research limitations/Implications: One limitation of this study is the reliance on secondary data sources for the literature review. As the study uses the Systematic Literature Review (SLR) technique, it may be limited by the availability and quality of existing literature on the financial performance of the tourism industry before and after the COVID-19 pandemic. Novelty/Originality of the study: This research can be used as material for consideration for conducting further research on the financial performance using activity ratios and market ratios.
Where Are We Now: A Literature Review of Agency Theory on Finance and Accounting within Tourism and Hospitality Industry Handyastuti, Indriyani; Waspada, Ikaputera; Sari, Maya
NHI HOSPITALITY INTERNATIONAL JOURNAL Volume 1 No 2 (2023)
Publisher : Politeknik Pariwisata NHI Bandung

Show Abstract | Download Original | Original Source | Check in Google Scholar | DOI: 10.34013/nhij.v1i2.1031

Abstract

Purpose of the study: The purpose of this study is to investigate attentively works about Agency Theory and financial and accounting management in the Tourism, Hospitality, and Hotel Industry. Design/methodology: This research adopts a literature search utilizing Bibliometric analysis to identify publications on Agency Theory within the tourism and hospitality industries and analyses research journals as the foundation for additional research on the subject at hand. Findings: Data regarding name, date of the journals, certain industry and scope of area that discussed in these journals, focus of the research and data analysis. This study identified previously unexplored topics and suggested further study based on the analysis procedure. Research limitations/Implications: Since data are very limited therefore VOSviewer application cannot be used. This research limited only with manual analysis using Microsoft Excel. Novelty/Originality of the study: Agency theory has also has been researched from various point of view. Note only finance and accounting, but also Law, Sociology, Entrepreneurship, Marketing and from the Islamic Shariah point of view. However, there are no studies found analyse Agency Theory on financial and accounting management in fields of Tourism, Hospitality, and Hotel Industry. This research is trying to fill in the gap.
The Impact of Technological Pedagogical Content Knowledge (TPACK) on Learning Outcomes: A Bibliometric Review Simangunsong, Marta Florentina; Waspada, Ikaputera; Rasto, Rasto; Muhammad, Ilham; Triansyah, Fadli Agus; Gunawan, Ashari
Jurnal EDUCATIO: Jurnal Pendidikan Indonesia Vol 9, No 2 (2023): Jurnal EDUCATIO: Jurnal Pendidikan Indonesia
Publisher : Indonesian Institute for Counseling, Education and Therapy (IICET)

Show Abstract | Download Original | Original Source | Check in Google Scholar | DOI: 10.29210/1202323188

Abstract

This study aims to analyze the research landscape regarding Technological Pedagogical Content Knowledge (TPACK) which is related to learning outcomes, using the bibliometric analysis method. The data used comes from the Scopus database. After going through the four stages of the process (identification, screening, eligibility, and inclusion), 41 relevant data were obtained. The results showed that the most publications related to TPACK and learning outcomes occurred in 2022 with a total of 6 publications. Meanwhile, the most cited publication occurred in 2017 with 267 citations. The United States has had a major influence on TPACK research and study outcomes. The research focus is divided into three main parts, namely 1) engineering and curriculum; 2) teaching and student; and 3) technology integration. Several new themes in this field include self-regulation, children learning, self-assessment, teaching strategies, learning activities and educational computing. However, the TPACK keywords which were the most dominant in the three research focuses were not directly connected with the three new theme keywords, namely self-regulation, children learning, and teaching strategies.
Systematic literature review on islamic bank customer adoption Khamiliyah, Lili; Waspada, Ikaputera; Sari, Maya
Fair Value: Jurnal Ilmiah Akuntansi dan Keuangan Vol. 5 No. 6 (2023): Fair Value: Jurnal Ilmiah Akuntansi dan Keuangan
Publisher : Departement Of Accounting, Indonesian Cooperative Institute, Indonesia

Show Abstract | Download Original | Original Source | Check in Google Scholar | DOI: 10.32670/fairvalue.v5i6.2786

Abstract

The development of Islamic banking has been widespread in Muslim-majority and non-Muslim countries. In the process of such developments, it is known that the adoption of Islamic banking products and services is an interesting phenomenon to study. This study aims to uncover the supporting factors for adopting Islamic banking in various countries. With a systematic literature review approach to publications in databases of reputable journals, this study has recognized that the adoption process of Islamic banking can be understood through the Diffusion of Innovation theory, Theory of Planned Behaviour, and Theory of Reasoned Action, including modifications. The religiosity aspect is a factor that exerts internal influence in the adoption of Islamic banking, while the environmental support factor is an external factor that supports adoption. This study has confirmed that adoption theories have become a powerful platform for understanding the acceptance of religiously motivated products for consumers with different backgrounds of religiosity.
Mengukur Efisiensi Pasar: Pengaruh Stock Split Terhadap Aktivitas Perdagangan dan Return Saham di Indonesia Yuliawati, Tia; Waspada, Ikaputera; Sari, Maya
JURNAL AKUNTANSI Volume 19, Nomor 2, November 2024
Publisher : Jurusan Akuntansi Fakultas Ekonomi Universitas Siliwangi

Show Abstract | Download Original | Original Source | Check in Google Scholar | DOI: 10.37058/jak.v19i2.10993

Abstract

Penelitian ini bertujuan untuk mengukur pengaruh stock split terhadap Trading Volume Activity (TVA) dan Abnormal Return (AR) saham pada perusahaan yang terdaftar di Bursa Efek Indonesia (BEI) selama periode 2018-2022. Metode yang digunakan adalah event study, dengan periode pengamatan lima hari sebelum dan lima hari sesudah pengumuman stock split. Sampel penelitian terdiri dari 37 perusahaan yang memenuhi kriteria purposive sampling. Pengujian hipotesis dilakukan menggunakan uji Wilcoxon Signed Ranks Test. Hasil penelitian menunjukkan bahwa terdapat perbedaan signifikan pada TVA dan AR sebelum dan sesudah stock split. Penurunan TVA setelah pengumuman stock split mengindikasikan bahwa pasar tidak merespon positif terhadap pengumuman tersebut, yang mungkin disebabkan oleh persepsi bahwa stock split tidak memberikan keuntungan yang menarik. Selain itu, penurunan AR menunjukkan bahwa pasar merespon pengumuman stock split sebagai berita negatif. Temuan ini mendukung teori efisiensi pasar bentuk setengah kuat, dimana harga saham mencerminkan semua informasi publik yang tersedia, serta teori sinyal yang menunjukkan bahwa reaksi pasar terhadap pengumuman mencerminkan persepsi investor terhadap prospek perusahaan. Dengan mengacu pada temuan dan saran ini, diharapkan para pelaku pasar dan peneliti dapat lebih memahami dinamika dan implikasi dari aksi korporasi seperti stock split, sehingga dapat membuat keputusan yang lebih informasional dan strategis.
A Systematic Literature Review of Investment Strategies in Perfect Capital Markets: Insights from the PRISMA Framework Wijaya, Fanji; Waspada, Ikaputera; Sari, Maya
International Journal of Entrepreneurship and Sustainability Studies Vol. 4 No. 2 (2024): December Volume
Publisher : Research Synergy Foundation

Show Abstract | Download Original | Original Source | Check in Google Scholar | DOI: 10.31098/ijeass.v4i2.2813

Abstract

Investment strategies in capital markets play a crucial role in optimizing returns and managing risk. This article reviews recent literature using the PRISMA framework to identify and analyze effective investment strategy approaches in flawless capital markets. There are 6,411 Scopus Databases, 1,336 databases on specific and Reports assessed for eligibility (n = 263), and studies included in the review (n = 12).  This study explores the integration of Environmental, Social, and Governance (ESG) and Socially Responsible Investment (SRI) strategies supported by data-driven quantitative models and cutting-edge technologies, such as machine learning and big data analytics. This research highlights the importance of cross-cultural and regional risk diversification strategies, as well as the implementation of advanced technologies, such as Backpropagation Neural Network (BPNN), in asset valuation and market prediction. Findings reveal that optimizing quantitative strategies with artificial intelligence enables more precise and responsive decision-making to market volatility, and data-driven approaches are particularly relevant in emerging economies to address liquidity risk and regulatory uncertainty. The reformulation of ownership and capital structure policies is proposed to encourage productive collaboration between foreign and domestic investors. In addition, innovation-based strategies, such as the use of digital coins and textual analysis of opinions, offer competitive advantages in an evolving capital market. This research emphasizes the importance of synergies between technological innovation and strategic investment policies to maximize opportunities in a dynamic global market and ensure long-term sustainability.