Claim Missing Document
Check
Articles

Found 26 Documents
Search

STRATEGI MEMBELI Public Offering Initial (IPO) Di PASAR MODAL PERDANA INDONESIA hendarsih, ida
MONETER - JURNAL AKUNTANSI DAN KEUANGAN Vol 4, No 2 (2017): Oktober 2017
Publisher : Universitas Bina Sarana Informatika

Show Abstract | Download Original | Original Source | Check in Google Scholar | Full PDF (186.674 KB) | DOI: 10.31294/moneter.v4i2.2379

Abstract

ABSTRACK        Capital markets play an important role for economic development as one source of external financing for business and investment vehicles for the community. In the capital market investors can invest by means of ownership of securities for the company. In general, people can buy or as an investor on shares offered by the company. Buying IPO shares should use a certain strategy. The research method used qualitative descriptive analysis in data collection techniques. Collecting data by collecting information contained in newspaper articles, books, or scientific papers on previous research. Initial Public Offering (IPO) is a stock offering in the primary market conducted by a company that wants to go public. Through the capital market, a company may sell its Initial Public Offering (IPO) Initial Public Offering (IPO) to the public in order to obtain funding sources for expansion activities or company operations. Being an investor or buying shares in the capital market is not enough to understand the mechanism of buying and selling securities transactions, both stocks and bonds and profit-loss invest. Especially as inestos IPO must know a certain strategy to avoid loss when after buying IPO. Key Word: STRATEGI, Public Offering Initial (IPO), Capital markets
PEGARUH ATRIBUT PRODUK DAN BAURAN PROMOSI TERHADAP MINAT BELI”. (STUDI KASUS PEMBALUT WANITA SOFTEX PADA MALL BLOK M SQUARE KEBAYORAN BARU. JAKARTA SELATAN)” Hendarsih, Ida; Harjunawati, Sri
Jurnal Akrab Juara Vol 4 No 2 (2019)
Publisher : Yayasan Akrab Pekanbaru

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

Abstract

This study discusses the effect of product attributes and promotion mix on softex sanitary buying interest in Blok M Mall, South Jakarta. The aim is to find out the factors that influence consumer buying interest. Because at this time the increasingly fierce product competition in the sanitary napkin business, with the emergence of new brands. The analytical method used is research The method used is a quantitative method. The sampling technique used was the simple random sampling method, which is a sampling technique that was randomly random sampling, the number of respondents was 150 people. Data collection by observation, documentation and questionnaire. Testing indicators or questionnaires from calculations using SPSS 20. From the results of the analysis there is a significant effect between product attributes and promotion mix on buying interest. The results of this study indicate that product attributes and promotion mix of positive relations to buying interest with multiple correlation analysis coefficients indicate the Adjusted R Square number of 0.851 this means 85.1% from consumer buying interest can be explained by the variation of the two independent variables namely product attributes and promotion mix, while the remaining 14.9% consumer buying interest is influenced by other variables.
ANALISIS KONSEP GREEN PRODUCT SEBAGAI PELAKSANAAN ETIKA BISNIS PADA PERUSAHAAN Ida Hendarsih
Widya Cipta - Jurnal Sekretari dan Manajemen Vol 1, No 1 (2017): Maret 2017
Publisher : Universitas Bina Sarana Informatika

Show Abstract | Download Original | Original Source | Check in Google Scholar | Full PDF (182.314 KB) | DOI: 10.31294/widyacipta.v1i1.1589

Abstract

Green Product not just produce goods and services but involves all aspects of business activities started production processes, product offer and distribution of environmentally friendly products to consumers. Activity-based business environment, a new development in the production of goods and services, is a potential and strategic opportunities that have the double advantage (multiplier effect) both businesses and the community. This discussion aims to assess the application of the concept of green product that is closely related to business ethics, that every business activity must preserve the environment, has a concern for the environment, by applying environmental impact assessment, as the law requires environmental impact assessment (EIA) and the granting ecolabel label on every product in accordance with ISO14020 and ISO14024 standards. Assessment using a qualitative approach and examine the implementation of green management is done according to the law firm business ethics. From the results of studies in recent decades many companies are already implementing green product in productivity activities. The stakeholders have awareness of business ethics implement one consciousness produce environmentally friendly and healthy products. Moral motive that individual businesses can be the motor of the application of ethics in a business organization. Keywords: Green Product, business ethics
ANALISIS PERUBAHAN HARGA SAHAM DENGAN MENGGUNAKAN GRAFIK CANDLESTICK Ida Hendarsih
MONETER - JURNAL AKUNTANSI DAN KEUANGAN Vol 3, No 2 (2016): Oktober 2016
Publisher : Universitas Bina Sarana Informatika

Show Abstract | Download Original | Original Source | Check in Google Scholar | Full PDF (720.157 KB) | DOI: 10.31294/moneter.v3i2.1199

Abstract

This time the investment has been a staple for most people. There are many reasons that make the investment becomes liberated part of the community. Investment serve as an increase in the value of wealth and investment as a guarantor of future uncertainty. There are several capital market investment products offered by the Indonesia Stock Exchange in Indonesia consists of; stocks, bonds, derivatives, mutual funds, shariah and services around historical data and information IDX Indonesia capital market. In order to menganalisisa value invstasi it must know the tools to analyze price movements on capital markets, one of them using a candlestick chart. Candlestick charts will facilitate assessing the movement of securities. By using a set of technical analysis tools candlestick today the stock market participants can maximize revenue at a level of risk that can be calculated. Many traders consider candlestick charts easier to interpret visually than traditional bar charts. Because candlestick dominant use of colors, it is easy to read the movement of shares and candlestick has four parts (OPEN, HIGH, LOW, CLOSE) in the presence of a body chart. This assessment of the size of the body, long legs or shadow in candlestick. it is easier to see if the stock market goes up or down, how far the rise or decline. In analyzing the stock technically candlestick can be viewed from the perspective of the average price, the lowest price and the highest at a time and price targets. Keyword : Value of Shares, Candlestick Charts
Effect of Inflation, BI Rate And Net Export To USD Central Exchange Rate to Rupiahs In Bank Indonesia For 2005-2019 Sri Harjunawati; Ida Hendarsih; Syahrial Addin; Amas Sari Marthanti
MONETER - JURNAL AKUNTANSI DAN KEUANGAN Vol 8, No 1 (2021): April 2021
Publisher : Universitas Bina Sarana Informatika

Show Abstract | Download Original | Original Source | Check in Google Scholar | DOI: 10.31294/moneter.v8i1.10338

Abstract

This study discusses the USD Central Exchange Rate of USD To Rupiah at Bank Indonesia as a Dependency Factor (Y), with independent factors that can approve internal aggregates, namely In ation (X1), BI Rate (X2), and Net Exports (X3). The hypothesis used in this study is In ation (X1) that applies to the USD Middle Rate Against Rupiah at Bank Indonesia (Y), whether the BI Rate (X2) is related to the USD Middle Rate Against Rupiah at Bank Indonesia (Y), whether Net Exports (Y X3) against the USD Exchange Rate Against Rupiah at Bank Indonesia (Y), and whether In ation (X1), BI Rate (X2), and Net Exports (X3) simultaneously oppose the USD Exchange Rate Against Rupiah at Bank Indonesia (Y). The data used are secondary data released by the Indonesian Central Statistics Agency and processed using SPSS.22. The classic test is done using the Normality Test, Autocorrelation Test, and Multicollinearity Test. Hypothesis testing is done using a Simple Linear Test and Multiple Linear Test. This research resulted in a calculated value of X1 against Y of -1.318; the value of t-count X2 against Y is -1,963; and the t-value of X3 against Y is -3,803. The t-table value is negative in this study -2.16037. Multiple linear tests in this study produced a calculated F value of 4.670> 3.587 (F table). The regression equation in this study is Y = 12,226,241 - 166,022.X1 + 196,115.X2 - 0,101.X3 + e. The coe cient of R value is 0.748 and the value of R square is 0.56.
METODE DEDICATED STORAGE FIFO UNTUK BAHAN BAKU BERKUALITAS PADA PT FRISIAN FLAG INDONESIA PLANT PASAR REBO JAKARTA TIMUR Ida Hendarsih; Sri Harjunawati
Jurnal Akrab Juara Vol 3 No 3 (2018)
Publisher : Yayasan Akrab Pekanbaru

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

Abstract

The warehouse administrator inputs the data to the system based on inbound delivery numbers and creates an identity label of the goods according to the type of raw material and the number of drivers. Based on the lay out of each area is set into the system as BIN (line / line) printed in the form of barkode and affixed in each storage path to facilitate the quality control of raw materials that will be used to obtain quality products in accordance with the standards. This research uses descriptive qualitative method using secondary data related to raw material storage system data, layout of existing raw material warehouse, material flow in raw material warehouse, Indonesian national standardization of sweetened condensed milk quality. Furthermore, a deeper review of whether the system is quite effective and efficient to apply to the company. Keywords: Raw Material Storage, Product Quality.
KINERJA KREDIT TERHADAP PROFITABILITAS BPR PADA MASA PANDEMI COVID-19 Wangsit Supeno; Ida Hendarsih
Akrab Juara : Jurnal Ilmu-ilmu Sosial Vol 5 No 4 (2020): November
Publisher : Yayasan Azam Kemajuan Rantau Anak Bengkalis

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

Abstract

Bank Perkreditan Rakyat (BPR) lembaga keuangan memiliki keterkaitan dengan pelaku Usaha Mikro Kecil dan Menengah (UMKM). Pelaku UMKM merupakan nasabah utama mitra usaha BPR sejak krisis 1998, UMKM tergolong tangguh memberikan kontribusi besar terhadap perekonomian nasional. Pada masa Pandemi COVID-19 diberlakukannya Pembatasan Sosial Berskala Besar (PSBB), pelaku UMKM salah satu usaha paling terkena dampaknya. Omset usaha UMKM menurun bahkan ada yang tidak mampu beroperasi ditambah menurunnya daya beli masyarakat. Untuk mengetahui perubahan kinerja kredit terhadap profitabilitas, metode penelitian menggunakan deskriptif kualitatif, obyek penelitian BPR secara Nasional. Data Tahun Agustus 2019 sampai Agustus 2020 di saat Pandemi COVID-19. Pertumbuhan kredit BPR di masa pandemi COVID-19 pada akhir Agustus 2020, mengalami pertumbuhan walaupun tidak besar 1,28%. Kinerja kualitas kredit BPR yang diukur dengan rasio Non Performing Loan (NPL) juga terdampak pandemi COVID-19, akibatnya jumlah kredit non lancar semakin meningkat dan rasio NPL meningkat. Kurang optimalnya kinerja kredit dan meningkatnya rasio NPL, ditambah upaya penyelamatan kredit, berakibat menurunnya jumlah penerimaan dana kredit yang telah disalurkan kepada nasabah. Penerimaan dana angsuran kredit menurun dan tertunda, berdampak menurunnya pendapatan kredit dan secara keseluruhan berakibat pada kemampuan BPR memperoleh laba sebelum pajak. Hal ini menurunnya kinerja profitabilitas rasio ROA Agustus 2020 yaitu -16,02% dibandingkan Desember 2019.
PENGGOLONGAN SAHAM BLUE CHIP BERDASARKAN KAPITALISASI PASAR PADA BURSA EFEK INDONESIA TAHUN 2017-2020 Ida Hendarsih; Sri Harjunawati
Akrab Juara : Jurnal Ilmu-ilmu Sosial Vol 5 No 2 (2020): Mei
Publisher : Yayasan Azam Kemajuan Rantau Anak Bengkalis

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

Abstract

In general, investors usually like shares that are already well-known in the market because these shares have products that have become market leaders, their shares have a high level of liquidity and market capitalization or so-called Blue Chips. In selling on the Indonesian securities bus (BEI) these shares have a high rating with a stable price compared to other share members. Blue chip stock valuation uses secondary data in the form of sales data of Blue Chip companies listed on the Indonesia Stock Exchange (IDX) and other sources in 2017-2020 with population data is the sale of 5 (five) Blue Chips shares. The selection and collection of sample data using purposive sampling. Analysis of the market capitalization of the five largest Blue Chips stock lists on the Indonesia Stock Exchange in 2017-2020 is measured by multiplying the stock market price by the number of shares outstanding. Market capitalization value data is the closing price taken from the Indonesia Stock Exchange. The higher the share price of the capital, the higher the profit for the shareholders. Banks that are always on the chip feather list based on market capitalization are Bank Central Asia, Bank Rakyat Indonesia PT. Telekomunikasi Indonesia Tbk, PT. Unilever Indonesia Tbk and Bank Madiri.
ANALISIS PENERAPAN STRATEGI BUSINESS MODEL CANVAS (BMC) PADA JASA ZIGZAG LASERWORK SEMARANG JAWA TENGAH Ida Hendarsih
Akrab Juara : Jurnal Ilmu-ilmu Sosial Vol 6 No 4 (2021): November
Publisher : Yayasan Azam Kemajuan Rantau Anak Bengkalis

Show Abstract | Download Original | Original Source | Check in Google Scholar | DOI: 10.58487/akrabjuara.v6i4.1599

Abstract

Melalui konsep Business Model Canvas dapat digunakan sebagai bahan analisa strategi yang dijalankan oleh sebuah bisnis dan menemukan kelebihan maupun kekurangan yang ada sekaligus menciptakan beberapa strategi baru serta langkah berikutnya yang dibutuhkan untuk merancang mengembangkan usaha lebih jauh diwaktu mendatang. Penelitian ini menggunakan metode analisis secara deskriptif kualitatif. Pengumpulan data dilakukan dengan menggunakan teknik wawancara dengan menggunakan teori model bisnis, pendekatan business model canvas dengan analisis SWOT, Hasil penelitian ini menunjukkan bahwa bisnis Jasa Laser Zigzag Laserwork Semarang dalam kegiatan bisnis sehari-hari sudah menerapkan model bisnis yang memenuhi syarat ketentuan dari sembilan elemen pada business model canvas (BMC). Dengan menggunakan evaluasi analisis SWOT pada setiap elemen business model canvas maka dapat diketahui kekurangan dan kelebihan strategi bisnis, bertujuan untuk meningkatkan aktivitas pemasaran customer relationships secara terus menerus mencari pelanggan baru secara intens. Menginformasikan pelayanan jasa laser lewat media social dan infrastruktur serta kemampuan finansialnya perlu ditingkatkan. Selama Tahun 2019 pelayanan jasa Laser Zigzag Laserwork mengalami kenaikan permintaan signifikan dari pelanggan Tahun 2020 sampai Tahun 2021
PENGARUH PENGANGGURAN DAN INFLASI TERHADAP PRODUK DOMESTIK BRUTO INDONESIA TAHUN 2009-2019 Sri Harjunawati; Ida Hendarsih
JURNAL PENDIDIKAN DAN KEWIRAUSAHAAN Vol 7 No 2 (2020)
Publisher : STKIP PGRI SITUBONDO

Show Abstract | Download Original | Original Source | Check in Google Scholar | Full PDF (479.532 KB) | DOI: 10.47668/pkwu.v7i2.27

Abstract

In accordance with article 33 of the 1945 Constitution, the main objective of the Indonesian government is the prosperity of the Indonesian people. The state is said to be prosperous if most of the needs of its people are met. Satisfaction needs in the form of goods and services produced in the territory of Indonesia, namely Gross Domestic Revenue. There are many aggregative factors that influence the Gross Domestic Product, including Unemployment and Inflation. This study examines the effect of unemployment and inflation on the Gross Domestic Product. Research on the influence of the Unemployment independent variable (X1) on Gross Domestic Product (Y) produces at-value of -4,974> 2,300 (t table). Research on the influence of the Inflation (X2) independent variable on the dependent variable of the Gross Domestic Product yields a calculated value of -1,511 <2,300 (t table). Multiple linear tests in this study produced a calculated F value of 14,834> 4.35 (F table). The regression equation in this study is Y = 21036872.292 - 1.526 X1 - 127482.199X2 + e. R-value of the correlation coefficient of 0.900 and R square value of 0.809.