Dolina L. Tampi
Program Studi Administrasi Bisnis, Fakultas Ilmu Sosial dan Politik, Universitas Sam Ratulangi

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Analisis Rasio Keuangan Pada PT. Bluebird Tbk Setelah Adanya Sarana Transportasi Berbasis Online Marchel R. A. Goni; Dolina L. Tampi; Wilfried S. Manoppo
JURNAL ADMINISTRASI BISNIS Vol. 8 No. 1 (2019): Jurnal Administrasi Bisnis
Publisher : Universitas Sam Ratulangi

Show Abstract | Download Original | Original Source | Check in Google Scholar | DOI: 10.35797/jab.v8.i1.71-78

Abstract

The purpose of this study was to analyze the Financial Ratio at PT Bluebird Tbk after the existence of online-based transportation facilities. The company's problem arose since the entry of online transportation facilities where there was a significant decrease in income. Ratio analysis in the opinion of Munawir An analytical method to determine the relationship of certain items in the balance sheet or income statement individually or in a combination of the two reports. The research method used is liquidity ratio, solvability ratio and profitability ratio. The results show that the relationship between liquidity and solability can be said to be "liquid and solvable", meaning that the condition of the company is declared healthy and in good condition because the company is able to pay off its obligations that are due on time. Furthermore, the relationship between solvency and profitability can be said as "solvabel and inprofit", meaning that the condition of total corporate debt tends to decrease, not accompanied by a decrease in profit from year to year. Declining profit growth does not affect the rate of return on short-term debt from the company. This means that even though profits are reduced, the company can still return the current debt fairly well. Thus, after the entry of other online-based transportation facilities there is a downward trend in indicators of profitability, while in the other two indicators tend to be in a good position. This is because the company has not been able to manage financial performance in terms of profitability efficiently.
Analisa Tingkat Kesehatan Bank Berdasarkan Pendekatan RBBR (Risk Based Bank Rating) Pada PT. Bank SulutGo Periode 2015-2018 Jek Malensang; Dolina L. Tampi; Wilfried S. Manoppo
JURNAL ADMINISTRASI BISNIS Vol. 9 No. 1 (2019): Jurnal Administrasi Bisnis
Publisher : Universitas Sam Ratulangi

Show Abstract | Download Original | Original Source | Check in Google Scholar | DOI: 10.35797/jab.v9.i1.82-89

Abstract

To find out how the bank’s health conditions are valued using the RBBR Risk-Based Bank Rating method at PT. Bank SulutGo Manado. The Bank is the financial institutions that have a major role gather funds from the community in the form of savings and distributing the funds to the community in the form of credit with the purpose of improving the community standard of living. This research uses the factor Risk-Based Bank Rating, Factors risk profile, credit risk using the ratio of Net Performing Loan (NPL), market risk by using a ratio Interest Rate Risk (IRR), and liquidity risk by using the ratio of the Loan to Deposit Ratio (LDR). This study shows that Good Corporate Governance (GCG) factors change in each period because the results of the calculation ratios that exist in these factors indicate developments in 2017 and 2018 in the healthy category means that the company is able to overcome the problems that occurred in previous years. Research on the factor risk profile shows that the bank owned by the local government has the average NPL 0,86%, IRR 205,4 %, LDR 101,09 %. The evaluation comprises ratio ROA and NIM shows the average bank rentabilitas belongs to the local government is very adequate for bank capital. The results of the assessment ratio of the CAR shows the entire predicated very healthy that indicates the bank is able to fulfill the obligation of providing the capital.
Pengaruh Earning Per Share Terhadap Harga Saham Perusahaan Manufaktur Sektor Barang Konsumsi yang Terdaftar Di Bursa Efek Indonesia Periode 2015-2018 Mikha Q. H. M. Mantik; Dolina L. Tampi; Wilfried S. Manoppo
JURNAL ADMINISTRASI BISNIS Vol. 9 No. 2 (2019): Jurnal Administrasi Bisnis
Publisher : Universitas Sam Ratulangi

Show Abstract | Download Original | Original Source | Check in Google Scholar | DOI: 10.35797/jab.v9.i2.1-8

Abstract

This research aims to test the partially influence, direction, and the significance of EPS against stock prices in the sector of consumer goods manufacturing company listed in IDX 2015-2018 Period. Financial information functions as a means of information, management accountability tool to the owner of the company, success indicators against the depiction of the company and as a material consideration in decision making. One of the indicators measuring share price i.e.: Earning Per Share. Earnings Per Share (EPS) to measure the company's ability to generate profits per shares. And the stock price is the closing price of the stock market during the period of observation for each type of stock. This research method is associative causal. Of the total population, conducted the withdrawal of samples as many as 29 companies with purposive sampling method, a sampling method that takes an object with certain criteria. Data analysis was done of simple linear regression analysis and hypothesis testing using the analysis of the coefficient of determination and test results showed t. EPS positive and significant effect against the price of the shares, with a value of the coefficient of determination (R 2) 0.435 and value 0.000 probability less than 0.05. Based on the results of test data analysis research, it can be seen that the level of variable earnings per shares or Earning Per Share (EPS) have a positive influence significantly to stock prices in the sector of consumer goods manufacturing company in Indonesia Stock Exchange.
Analisis Rasio Modal Kerja Pada PT. Bank BNI Tbk Laurens D. Lumantow; Dolina L. Tampi; Joula J. Rogahang
JURNAL ADMINISTRASI BISNIS Vol. 9 No. 2 (2019): Jurnal Administrasi Bisnis
Publisher : Universitas Sam Ratulangi

Show Abstract | Download Original | Original Source | Check in Google Scholar | DOI: 10.35797/jab.v9.i2.52-57

Abstract

This research aims to analyze and find out how working capital adequacy ratio. This research was conducted at the PT. Bank BNI Tbk. The methods used in this research is descriptive quantitative and analytical tools used are Working capital adequacy Ratio which consists of three types of ratios i.e. ratio of Total Assets to capital The work is clean, current liabilities against the Net working capital and working capital Turnover. The data used are secondary data from the financial statements of PT Bank BNI Tbk. Results of the study explained that the calculation of the ratio of Total Assets Against Net working capital in the year 2015 to 2017. And the results of calculation of the ratio of current liabilities against the Net working capital in the year 2015 to 2017. And the results of the calculation of working capital Turnover Ratio by the year 2015 to 2017 is also quite good. The results of the analysis of the work on capital adequacy ratio of the company will give an overview of how companies can manage the capital works. We suggest PT Bank BNI Tbk. can use working capital optimally. So the company could cover the liabilities are short-term and the company was able to produce profits every year.
Analisis Strategi Pemasaran Dalam Upaya Meningkatkan Volume Penjualan Pada Rose Collection Manado Edenia D. Wawolumaya; Dolina L. Tampi; Joula J. Rogahang
Productivity Vol 1 No 2 (2020)
Publisher : Program Studi Administrasi Bisnis

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Abstract

This study aims to find out the most appropriate marketing strategy to be applied by the Manado Rose Collection in an effort to increase its sales volume. This research is a descriptive qualitative research in detail describing the state of the company in its business activities through the method of observation, interviews, and documentation. By using marketing tools namely marketing mix 4P consisting of products, price, promotion, and place, and then analyzed using the SWOT analysis method consisting of strengths, weaknesses, opportunities, and threats. From the analysis it has been found that Rose Collection applies the 4P marketing strategy by offering products of good quality and variety, offering competitive prices with similar companies, conducting promotions through various media, and determining strategic locations. The results of the SWOT analysis state that Rose Collection can already compete in a competitive competition market. Based on the analysis of the company's internal and external factors, the company's position supports being in the growth phase, by implementing an SO (Strength-Opportunity) strategy by continuing to focus on maintaining and improving product quality, maintaining customer trust, utilizing existing technology, and enhancing good relations with supplier.
Analisis Rasio Kinerja Keuangan pada PT Telekomunikasi Indonesia (Persero), Tbk Nur Lischa M. P. Lasabuda; Frendy A. O. Pelleng; Dolina L. Tampi
Productivity Vol 1 No 2 (2020)
Publisher : Program Studi Administrasi Bisnis

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Abstract

This study aims to analyze and find out how PT Telekomunikasi Indonesia Tbk’s financial performance is based on liquidity, solvency, activity, and profitability ratios. The research method used is descriptive quantitative. Data analysis techniques using financial ratio analysis. The result showed that: (1) the level of company liquidity is measured by the current ratio, quick ratio, and cash ratio indicator is in the category of “less good” because it is below the industry standard average. (2) the level of solvency of the company is measured by the debt ratio, debt to equity ratio, long-term debt to equity ratio, and times interest earned indicator are in the “pretty good” category when compared to the industry standard average. (3) The level of activity ratio measured by Account Receivable Turn Over, Inventory Turn Over, Working Capital Turn Over, Fixed Assets Turn Over, and Total Assets Turn Over indicator is in the “less good” category when compared to the industry standard average. (4) the level of profitability ratio measured by return on assets, return on equity, gross profit margin, operating profit margin, net profit margin indicator are in the “less good” category when compared to the industry standard average.
Kualitas Pelayanan Terhadap Kepuasan Konsumen Hotel Gran Puri Manado Ret N Matantu; Dolina L. Tampi; Joanne V. Mangindaan
Productivity Vol 1 No 4 (2020)
Publisher : Program Studi Administrasi Bisnis

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Abstract

This study aims to analyze the effect of service quality which consists of 5 indicators, namely physical evidence, reliability, responsiveness, assurance, and empathy on customer satisfaction at Hotel Gran Puri Manado. This research is a quantitative research. This study uses primary and secondary data obtained from distributing questionnaires. The number of samples in this study was 30 responded. This study uses simple regression analysis techniques. Data that meets the analytical technique are processed using the SPSS (Statistical Package for social science). Based on the result of the statistical test, it was found that service quality (physical evidence, reliability, responsiveness, assurance, empathy) has a positif effect on customer satisfaction. Of the five indicators of service quality (physical evidence, reliability, responsiveness, assurance and empathy) the indicator of responsiveness is the most dominant. 
Citra Merek terhadap Pengambilan Keputusan Pembelian Mobil Daihatsu All New Terios Rivaldo Ering; Dolina L. Tampi; Joula J. Rogahang
Productivity Vol 1 No 4 (2020)
Publisher : Program Studi Administrasi Bisnis

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Abstract

This study aims to determine the effect of brand image on purchasing decisions for Daihatsu All New Terrios cars at Pt Astra International Daihatsu Malalayang. This research methodology uses a quantitative research approach. The sampling technique used was simple random sampling with a population of 35 respondents. The R result between the two variables is 0.669 which means that the relationship between brand image and the purchase decision for the Daihatsu All New Terrios is strong. Then the R square value (coefficient of determination) is 0.447. This shows that the decision to buy a Daihatsu All New Terrios car is 44.7% influenced by the brand image, while the remaining 55.3% is determined by other factors that are not included in this study. Then this influence can be interpreted that the brand image is one of the factors that is sufficient to influence the decision to buy a Daihatsu All New Terrios car. There are things that must be improved in terms of the uniqueness of the brand in order to be able to compete with other products and to continue to innovate by taking advantage of existing opportunities so that the brand image can be a reference in expanding marketing.
Kualitas Produk dan Harga terhadap Keputusan Pembelian Dream Vape Store Ocktavia Pricilla Wuntuan; Dolina L. Tampi; Joula Rogahang
Productivity Vol 1 No 5 (2020): Additional Issue
Publisher : Program Studi Administrasi Bisnis

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Abstract

This study aims to determine whether product quality and price influence purchasing decisions. This research is a type of quantitative research with the population of Dream Vape Store District that have already bought and consumed Vape and Liquid products within a period of one year. The sample size uses the guidelines proposed by Roscoe, more than 30 and less than 500. samples are sufficient to be used in a study. Therefore, the sample in this study was 30 respondents. Data analysis techniques used multiple linear regression analysis. The results showed that there was an effect of product quality on purchasing decisions, but there was no influence between price and purchasing decisions. In the case of multiple regression tests the results are obtained that the product quality and price together influence the purchasing decision.
Citra Merek Smartphone Samsung terhadap Keputusan Pembelian Mahasiswa Universitas Sam Ratulangi Manado Marvel Werung; Dolina L. Tampi; Joanne V. Mangindaan
Productivity Vol 1 No 5 (2020): Additional Issue
Publisher : Program Studi Administrasi Bisnis

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Abstract

This study aims to determine the effect of brand image on purchasing decisions for Samsung smartphones. Variable Brand Image in Test Using 3 indicators and Variable Purchase Decision for Samsung smartphones using 4 indicators. This research methodology using purposive sampling approach to quantitative research. The sampling technique used was a population of 82 respondents. Data collection techniques were carried out by observing the field and distributing questionnaires to respondents, using correlation analysis and simple linear regression. The result of R between the two variables is 0.745, which means that the relationship between Brand Image and Purchasing decisions is strong. Then the R square value (coefficient of determination) is 0.610. This shows that the decision to buy a Samsung Smartphone, 61.0%, while the other 39.0% are determined by other factors. Then this influence means that the Brand Image is one of the factors that quite influences the decision to buy a Samsung Smartphone. Respondents rated the Samsung brand as having a strong hardware device. however, the problem is the strong screen technology, so that consumers switch to other smartphone brands. even so Samsung has many unique features that can increase the number of users.