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Exploring the Link between Supply Chain Agility, Supply Chain Cost, Supply Chain Responsiveness, Global supply Chain Risk Management, and Contribution in Global Manufacturing: An Indonesian Perspective Arifin, Agus Zainul; Yanuar, Yanuar; M.N, Nuryasman
International Journal of Supply Chain Management Vol 7, No 5 (2018): International Journal of Supply Chain Management (IJSCM)
Publisher : International Journal of Supply Chain Management

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

Abstract

During last decade, supply chain management has emerged as a key for sustainable completive advantages. Increasing globalization has given birth to new philosophies and businessman has started focusing on the new ways of occupying market share. However, the share of Indonesia in global production has decreased from 31.953% in the start of this year to 20% in 2017. Which shows a gradual decrease of 11% in 16 years. To address this issue, the ultimate objective of this study is to develop a framework to boost global manufacturing through supply chain activities. This objective was achieved by examining the effect of supply chain agility, effective supply chain cost, supply chain responsiveness and risk management practices. Survey questionnaires was used to collect the data and PLS SEM used to analyze the data. It is found that supply chain agility, effective supply chain cost and supply chain responsiveness has significant positive effect on global manufacturing. Moreover, risk management practices as a moderating variable strengthen this effect and enhances the global manufacturing activities. 
Tourism Development Based On Sharia Models On Tourist Destinations In Padang City Yulasmi, Yanuar, Agus Zainul Arifin,
Jurnal Manajemen Vol 23, No 3 (2019): October 2019
Publisher : Fakultas Ekonomi dan Bisnis, Universitas Tarumanagara

Show Abstract | Download Original | Original Source | Check in Google Scholar | Full PDF (467.595 KB) | DOI: 10.24912/jm.v23i3.582

Abstract

This study aims to make a description of attractions to tourist destinations in North Sumatra. Sharia area is in the object of observation in West Sumatra province. The research subject is a tourist destination in the city. Sharia description analysis method (comparing between reality and expectations) the potential of sharia tourism is carried out through, a tourism manager survey of tourists on visits to tourism sites, and local government. This research was conducted by spreading, questionnaire, interview, and observation. The method of analyzing of data-fired different methods than Levene’s test for equality of SPSS variances and software. The result of the research proved that all tourists’ variables attraction, amanitas, accessibility and ancillary shows of the values were lower than the hope Levene’s Test for equality of variances proved which are considerable.
Gender Diversity Towards Investment Decision For Retirement Preparation Arifin, Agus Zainul
Jurnal Manajemen Vol 23, No 2 (2019): June 2019
Publisher : Fakultas Ekonomi dan Bisnis, Universitas Tarumanagara

Show Abstract | Download Original | Original Source | Check in Google Scholar | Full PDF (197.87 KB) | DOI: 10.24912/jm.v23i2.474

Abstract

The aim of this paper is to examine influence of the relationship between Financial Behavior on Investment decision that moderated Retirement variable of employees who live in DKI Jakarta area in 2018 This study approach is survey research by distributing questionnaires online and manually. Data analysis was carried out using path analysis, namely by testing the outer and inner models. Results indicate that Financial behavior affects Retirement planning and investment decisions. Second, Retirement preparation does not affect investment decisions. Third,  Retirement planning is not a moderation variable of the relationship between financial behavior and investment decisions,  both for male, female, and overall gender. Gender factor does not has different effect relationship between Financial Behavior on Investment decision and retirement preparation.
The Mediating Effects of Brand Preference to Customer Satisfaction Agus Zainul Arifin, Jasin Mochammad, Dytta Novrianda, Pudji Astuti, Christina Catur Widayati,
Jurnal Manajemen Vol 22, No 3 (2018): October, 2018
Publisher : Fakultas Ekonomi dan Bisnis, Universitas Tarumanagara

Show Abstract | Download Original | Original Source | Check in Google Scholar | Full PDF (480.24 KB) | DOI: 10.24912/jm.v22i3.431

Abstract

The purpose of this study is to analyze the influence of  brand preference to customer satisfaction (advertiser). Samples consists of one hundred and  twenty persons of decision makers of government advertisemen programs in various government agencies and state owned companies. Data was collected by using self-completed questionnaire. Structural Equation Modelling used to analyze the indicator variables, latent variables and measurement error variables  to determine of causal brand awareness, brand association, brand extension, perceived quality to customer satisfaction through  brand preference of Sindo Media (MNC Group). The finding reveals a significant influence on mediated variables. While Brand awareness, Brand association, Brand extension, Perceived quality, has a significant influence on customer satisfaction. That means Brand preference has significant influence to customer satisfaction.   
Perancangan sistem informasi strategik pada ukm xyz untuk memaksimalkan pemasaran dan efisiensi biaya Elizabeth, Elizabeth; Arifin, Agus Zainul
Jurnal Manajemen Vol 21, No 2 (2017): June 2017
Publisher : Fakultas Ekonomi dan Bisnis, Universitas Tarumanagara

Show Abstract | Download Original | Original Source | Check in Google Scholar | Full PDF (431.881 KB) | DOI: 10.24912/jm.v21i2.231

Abstract

The goal of writing this research is to Maximize Marketing Through E-Commerce Small Mediun Enterprise (SME) XYZ. The structure of composing this research is refers of methodology IT Strategic Planning which created by John Ward and Peppard in the book The Strategic Management of Information Systems (2016). The analysis start with company’s condition using internal analysis tools such as SWOT and external analysis tools such as PEST and Porter Analysis, Internal Environment IS/IT, External Environment IS/IT. The result of the analysis are then processed and later generate initiatives in form of IS Business Strategies, IS/IT Management Strategies, and IT Strategies. From that analysis result can take a summary and recommend for IS Business Strategy are create Website E-Commerce with Cloud Computing Cozy and integrated with BI (Business Intelligence) Google Analytics, Install SMS Gateway Gammu, and optimalize online marketing with social media. For IS/IT management strategy are analysis cost and benefit from this project. IT Strategy analysis are recommend software and IT Roadmap.
Kepuasan pelanggan untuk pembelian mobil honda Arifin, Agus Zainul; Subagio, Regan Sutrisno
Jurnal Manajemen Vol 20, No 1 (2016): February 2016
Publisher : Fakultas Ekonomi dan Bisnis, Universitas Tarumanagara

Show Abstract | Download Original | Original Source | Check in Google Scholar | Full PDF (429.379 KB) | DOI: 10.24912/jm.v20i1.66

Abstract

Pertumbuhan ekonomi Indonesia tahun 2015 mengalami penurunan. Hal ini berdampak pada industri Otomotif Indonesia. Semua produsen mobil menyusun strategi untuk mempertahankan bisnis otomotifnya. Strategi yang banyak dilakukan umumnya diarahkan pada kepuasan pelanggan. Tujuan penelitian ini adalah meneliti variabel- variabel yang mempengaruhi kepuasan pelanggan. Objekpenelitian penelitian ini adalah Kualitas Produk, Pelayanan Purna Jual, Brand Image, Perceived Value, dan Kepuasan Pelanggan. Sampel data adalah pengguna produk mobil Honda. Kuesioner disebarkan pada 200 responden di seluruh Indonesia. Analisis data dengan menggunakan metode Structural Equation model.Kesimpulan yang diperoleh membantu produsen Honda mampu mempertahankan kepuasan pelanggan pada level tinggi dan memenangkan persaingan pada industri otomotif di Indonesia.The Indonesia economic grewth slowdown on 2015. It has impacted the competition in the automotive industry in Indonesia. All players have got to implement many strategies to keep them in the automotive business. One of the most common strategy is to how to maintain customer satisfaction.This research aimed to investigate which variables are significant and contribute the most to the customer satisfaction variable. This research was using 5 variables, i.e. product quality, after sales service, brand image, perceived value, and customer satisfaction. The sampling data was customers that used Honda Mobile. The questionnaires were distributed to 200 respondents across Indonesian provinces. Structural Equation model method was used for data processing using Lisrel program for Windows.Finally, the conclusion of this research would help Honda improve its performance to keep its customer satisfaction level high, and win the competition in the Indonesian automotive industry
Dampak kebijakan modal kerja, leverage, dan aset perusahaan terhadap profitabilitas perusahaan yang terdaftar di bursa efek in indonesia periode 2010-2012 Arifin, Agus Zainul; Indrayang, Prayogo
Jurnal Ekonomi Vol 20, No 1 (2015): March 2015
Publisher : Fakultas Ekonom dan Bisnis, Universitas Tarumanagara

Show Abstract | Download Original | Original Source | Check in Google Scholar | DOI: 10.24912/je.v20i1.216

Abstract

Objective of this study was to determine the relationship between working capital policy with proxy Cash Conversion Cycle (CCC), Leverage, company size, and Financial Assets, as independentvariables, and profitability as the dependent variable on the non-financial companies listed in Indonesia Stock Exchange period 2010-2012. To examine this relationship, using panel data regression. Sampling method was non-probability sampling with purposive sampling technique. The results of the analysis of the evidence obtained in the form of regression model used is Random Effect. Partial test effect prove that the policy of working capital, leverage, asset size, and Financial Assets no effect on profitability. The test results together prove significant effect.
Pengaruh kepribadian terhadap bias perilaku investor individual di Indonesia dengan mediasi motivasi sosial Santoso, Sidi; Arifin, Agus Zainul
Jurnal Manajemen Bisnis dan Kewirausahaan Vol 8 No 2 (2024): Jurnal Manajemen Bisnis dan Kewirausahaan
Publisher : Universitas Tarumanagara

Show Abstract | Download Original | Original Source | Check in Google Scholar | DOI: 10.24912/jmbk.v8i2.29658

Abstract

This research aims to examine the relationship between the five-factor model of personality and behavioral biases among individual investors in Indonesia when making stock investment decisions, mediated by social motivation. After testing the questionnaire’s feasibility and validity, it was distributed to 500 respondents to collect responses. The researchers conducted multiple regression analyses using the SmartPLS 4.0 tool to identify the relationship between the five-factor model of personality and behavioral biases among individual stock investors. Our findings revealed a high level of extroversion and a low level of neuroticism among stock investors in Indonesia, indicating significant relationships with investor biases in Indonesia, specifically the deposition effect and herding. However, the mediation used, in the form of social motivation, did not prove to have a significant influence as a mediator between the five-factor model of personality and investor behavioral biases. The limitations of this study include the possibility of analyzing primary and secondary investor data from both national and international stock brokerage firms, as well as the use of a larger sample to achieve findings that better represent the general conditions. This study represents the first comprehensive research exploring the relationship between personality traits, social motivation, and behavioral biases among individual stock investors in Indonesia. Furthermore, it provides valuable insights for a deeper understanding of the factors influencing stock investment decisions. Tujuan dari penelitian ini adalah untuk menguji hubungan antara kepribadian model lima faktor dan bias perilaku para investor individual di Indonesia pada saat membuat keputusan berinvestasi saham yang dimediasikan oleh motivasi sosial. Setelah menguji kelayakan dan validitas kuesioner, kuesioner tersebut disebarkan ke 500 responden untuk mendapatkan respons. Peneliti melakukan analisis regresi berganda menggunakan alat bantu SmartPLS 4.0 untuk mengidentifikasi hubungan antara model lima faktor kepribadian dan bias perilaku di kalangan para investor saham individual. Temuan kami mengungkap tingkat tinggi ekstrover serta tingkat rendah neurotisme di antara para investor saham di Indonesia menunjukkan hubungan yang signifikan terhadap bias perilaku investor di Indonesia, yaitu bias deposition effect dan herding. Akan tetapi, mediasi yang digunakan berupa motivasi sosial tidak terbukti berpengaruh signifikan sebagai mediasi antara model lima faktor kepribadian terhadap bias perilaku investor. Batasan penelitian ini meliputi kemungkinan analisis data investor primer dan sekunder dari perusahaan pialang saham baik nasional ataupun internasional, serta penggunaan sampel yang lebih besar untuk temuan yang bisa lebih mewakili kondisi umum. Studi ini menjadi penelitian komprehensif pertama yang mengeksplorasi hubungan antara sifat kepribadian, motivasi sosial, dan bias perilaku di kalangan para investor saham individual di Indonesia, selain itu memberikan wawasan yang berharga bagi pemahaman lebih lanjut tentang faktor-faktor yang memengaruhi keputusan investasi saham.
Pengaruh representativeness dan overconfidence terhadap keputusan investasi investor pada investor saham di Jabodetabek Ekajaya, Bastian; Arifin, Agus Zainul
Jurnal Manajemen Bisnis dan Kewirausahaan Vol 8 No 3 (2024): Jurnal Manajemen Bisnis dan Kewirausahaan
Publisher : Universitas Tarumanagara

Show Abstract | Download Original | Original Source | Check in Google Scholar | DOI: 10.24912/jmbk.v8i3.30219

Abstract

Based on data on capital market investor registration at the Indonesian Central Securities Depository (KSEI) from 2020 to 2023, it continues to increase. This shows that interest and importance of investing are growing. So, it requires the right investment decision to avoid the risk of loss from the selected asset. This study aims to study the impact of representativeness and overconfidence on investment decisions. This research sample uses a non-probability sampling method with a purposive sampling technique with a total of 515 investor respondents in Jabodetabek. The collected data is analyzed using validity and reliability. Data collection is carried out by distributing questionnaires in the form of Google Forms. The results of this study show that representativeness and overconfidence have a positive and significant effect on the investment decisions of stock investors in Jabodetabek. Berdasarkan data pendaftaran investor pasar modal di Kustodian Sentral Efek Indonesia (KSEI) dari tahun 2020 hingga 2023 terus mengalami peningkatan. Hal ini menunjukkan bahwa mulainya tumbuh minat dan pentingnya berinvestasi. Sehingga membutuhkan keputusan investasi yang tepat agar terhindar dari risiko kerugian dari aset yang dipilih. Penelitian ini bertujuan untuk mempelajari dampak representativeness dan overconfidence terhadap keputusan investasi. Sampel penelitian ini menggunakan metode non-probability sampling dengan teknik purposive sampling dengan jumlah data 515 responden investor di Jabodetabek. Data yang dikumpulkan dianalisis menggunakan validitas dan reliabilitas. Pengumpulan data dilakukan dengan penyebaran kuesioner dalam bentuk Google Form. Hasil penelitian ini menunjukkan bahwa representativeness dan overconfidence berpengaruh positif dan signifikan terhadap keputusan investasi investor saham di Jabodetabek.
Faktor-faktor yang memengaruhi niat penggunaan fintech pada Generasi Y dan Z di Jabodetabek Harrison, David; Arifin, Agus Zainul
Jurnal Manajemen Bisnis dan Kewirausahaan Vol 8 No 4 (2024): Jurnal Manajemen Bisnis dan Kewirausahaan
Publisher : Universitas Tarumanagara

Show Abstract | Download Original | Original Source | Check in Google Scholar | DOI: 10.24912/jmbk.v8i4.31636

Abstract

The development of financial technology has brought significant changes to the global financial industry. In the era of the Industrial Revolution 4.0, fintech simplifies and accelerates various financial transactions, increases the accessibility of financial services, and promotes financial inclusion. This study aims to explore the factors that influence the adoption of financial technology among generation Y and Z in Indonesia. This study uses a quantitative approach by collecting data through an online questionnaire from 301 respondents. Data analysis was conducted using Structural Equation Modeling (SEM) with the help of Smart PLS 4.0 application. The results showed that perceived usefulness, perceived convenience, social influence, and attitude have a significant and positive influence on the intention to use financial technology. Perkembangan teknologi finansial telah membawa perubahan signifikan dalam industri keuangan global. Di era Revolusi Industri 4.0, teknologi keuangan mempermudah dan mempercepat berbagai transaksi keuangan, meningkatkan aksesibilitas layanan keuangan, dan mendorong inklusi keuangan. Studi ini bertujuan untuk mengeksplorasi faktor-faktor yang mempengaruhi adopsi teknologi keuangan di kalangan generasi Y dan Z di Indonesia. Penelitian ini menggunakan pendekatan kuantitatif dengan mengumpulkan data melalui kuesioner online dari 301 responden. Analisis data dilakukan menggunakan model Struktural Equation Modeling (SEM) dengan bantuan aplikasi SmartPLS 4.0. Hasil penelitian menunjukkan bahwa persepsi kegunaan, persepsi kemudahan, pengaruh sosial, dan sikap memiliki pengaruh signifikan dan positif terhadap niat menggunakan teknologi keuangan.