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Contact Name
Bhimo Rizky Samudro
Contact Email
bhimosamudro@staff.uns.ac.id
Phone
+6282241068480
Journal Mail Official
jiep@mail.uns.ac.id
Editorial Address
Department of Development Economiecs Faculty of Economics and Business, Universitas Sebelas Maret Jl Ir. Sutami 36A Kentingan Surakarta 57126 Central Java Province, Indonesia
Location
Kota surakarta,
Jawa tengah
INDONESIA
Jurnal Ilmu Ekonomi dan Pembangunan
ISSN : 14122200     EISSN : 25481851     DOI : https://doi.org/10.20961/jiep
The Jurnal Ilmu Ekonomi dan Pembangunan (JIEP) invites papers on a wide range of topics, including the following : Economic Theories and Methodologies Econometric Finance and Monetary Economy Review of Government Policy and Macroeconomic Regional Economy Globalization and Localization Approach to Economic Political Economy Institutional Economy Environmental Economy Health Economy & Public Health Sustainable Economy Pancasila Economy, Grass-Roots Based Economy, Islam Economy, and other critical study.
Articles 136 Documents
ANALISA STAKEHOLDER DALAM KEBIJAKAN PEMBANGUNAN DI INDONESIA Prakoso, Gilang Reno; Munandar, Adis Imam
Jurnal Ilmu Ekonomi dan Pembangunan Vol 20, No 2 (2020): Jurnal Ilmu Ekonomi dan Pembangunan
Publisher : EP FEB UNS

Show Abstract | Download Original | Original Source | Check in Google Scholar | DOI: 10.20961/jiep.v20i2.41252

Abstract

Today the world's need for infrastructure continues to increase in line with increasing eco-nomic activity. Infrastructure is one of the determinants of the smoothness and acceleration of development. The availability of adequate infrastructure facilities will stimulate development in a region or country. In Indonesia, infrastructure development is a major challenge that must be overcome immediately. The lack of quality of Indonesia's infrastructure is inseparable from funding problems. The government has identified that the provision of infrastructure through the Public Private Partnership (PPP) scheme is an alternative for infrastructure financing that involves the role of business entities. And it cannot be denied that development, especially infrastructure, is closely related to national resilience as is the determination of the Indonesian people to realize the national goals contained in the Preamble to the 1945 Constitution. Keywords: Development, infrastructure, KPBUJEL Classification: O10, O18, O20
MODEL HUBUNGAN JUMLAH PENGANGGURAN DAN INDEKS KEDALAMAN KEMISKINAN DI PULAU SUMATERA TAHUN 2019 MENGGUNAKAN REGRESI NONPARAMETRIK SPLINES Meimela, Aida
Jurnal Ilmu Ekonomi dan Pembangunan Vol 20, No 2 (2020): Jurnal Ilmu Ekonomi dan Pembangunan
Publisher : EP FEB UNS

Show Abstract | Download Original | Original Source | Check in Google Scholar | DOI: 10.20961/jiep.v20i2.41701

Abstract

Poverty does not only focus on decreasing the number of poor people. There is an important thing that must also be considered, namely the Poverty Gap Index (P1). From year to year, the poverty gap index for all regencies/cities in Sumatra tends to stagnate. While the island of Sumatra is the second island with the largest population in Indonesia. This should be a serious concern for the government. One of the factors that influence the poverty gap index is unemployment. The more people who are unemployed can increase the poverty gap index. Therefore we need to model the relationship between the number of unemployment and poverty gap index. The approach used is nonparametric regression modeling where the residual value is not normally distributed. The model is smoothing splines regression and quantile splines regression (median, τ = 0, 5). Meanwhile, to see the best model performance by looking at the RMSE values of both models. From the results of the study, it was found that the quantile regression smoothing splines model was better because the RMSE value was lower than the regression smoothing splines.Keywords: poverty gap, unemployment, quantile regressionJEL Classification: I32, J64, C21
IDENTIFIKASI PERMASALAHAN USAHA MIKRO KECIL DAN MENENGAH (UMKM) DI INDONESIA MENDORONG ANGKA EKSPOR Fida Asqav, Rayyan; Prasetyani, Dwi
Jurnal Ilmu Ekonomi dan Pembangunan Vol 22, No 1 (2022): Jurnal Ilmu Ekonomi dan Pembangunan
Publisher : EP FEB UNS

Show Abstract | Download Original | Original Source | Check in Google Scholar | DOI: 10.20961/jiep.v22i1.88598

Abstract

Indonesia hingga saat ini belum berhasil menggapai puncak angka ekspor negara Asia Tenggara. Berbagai penelitian telah dilakukan untuk mengubah kondisi tersebut namun data menunjukan tidak ada peningkatan angka ekspor yang signifikan, sementara negara berkembang yang memiliki kedudukan serupa di Asia Tenggara seperti Vietnam telah berhasil melipat gandakan angka ekspor mereka dari tahun yang sama. Studi ini berupaya untuk menganalisis mengapa hal tersebut terjadi dan bagaimana Indonesia dengan menggunakan ketersediaan UMKM bisa mengubah hal ini. Metode penelitian menggunakan metode kualitatif pendekatan fenomenologi dengan tehknik in-depth interview. Hasil penelitian menunjukan bahwa angka ekspor Indonesia bisa dorong dengan memperbanyak UMKM yang berkontribusi dalam perdagangan ekspor, sedangkan problematika yang dihadapi adalah mentalitas UMKM yang telah merasa cukup dengan pasar domestik, Hubungan geopolitik serta perjanjian dagang Indonesia dengan negara lain yang masi tertinggal, serta UMKM Indonesia yang masi menjual komoditas bahan baku mereka ke negara lain tanpa nilai tambah yang diberikan.Kata Kunci: Makroekonomi, Perdagangan ekspor, UMKMJEL Klasifikasi: I30, P23, J16
MACROECONOMIC FACTORS & ASSET PORTFOLIO THEORY IN IDX30: STOCK RETURNS 2013-2020 Harsanico, Andreas Billyarta; Sugiyanto, Fx.
Jurnal Ilmu Ekonomi dan Pembangunan Vol 23, No 1 (2023): Jurnal Ilmu Ekonomi dan Pembangunan
Publisher : EP FEB UNS

Show Abstract | Download Original | Original Source | Check in Google Scholar | DOI: 10.20961/jiep.v23i1.57785

Abstract

This study examines the influence of macroeconomic factors on stock returns within Indonesia's IDX30 index, the nation's leading stock index. The primary aim is to evaluate both short-term and long-term impacts of these macroeconomic variables on stock market returns, guided by Milton Friedman's theoretical framework. The research utilizes Ordinary Least Squares (OLS) to assess immediate relationships and Vector Error Correction Model (VECM) to capture long-term dynamics. The study analyzes historical data from the IDX30, focusing on variables such as inflation rates, interest rates, and GDP growth as key indicators. Results indicate that specific macroeconomic factors, particularly interest rates and inflation, have significant effects on IDX30 stock returns. In the short term, interest rates exhibit a strong inverse relationship with stock returns, while in the long term, GDP growth positively correlates with stock market performance.
ANALISIS PENGARUH FAKTOR DEMOGRAFIS DAN KECAKAPAN LITERASI KEUANGAN SERTA TEKNOLOGI TERHADAP PREFERENSI JENIS INVESTASI GENERASI Z Ayu Kharisma, Nanda; Sumantyo, Riwi
Jurnal Ilmu Ekonomi dan Pembangunan Vol 21, No 2 (2021): Jurnal Ilmu Ekonomi dan Pembangunan
Publisher : EP FEB UNS

Show Abstract | Download Original | Original Source | Check in Google Scholar | DOI: 10.20961/jiep.v21i2.88578

Abstract

Generasi Z ialah generasi yang lahir antara tahun 1995-2010 semakin menjadi fokus utama dalam konteks investasi karena dominansi mereka di pasar modal. Riset ini terbentuk dengan tujuan agar menganalisis bagaimana faktor demografis, literasi keuangan, dan tingkat pemahaman teknologi mempengaruhi preferensi jenis investasi generasi Z. Generasi Z yang dikenal juga dengan iGen terbiasa hidup dengan gadget dan internet. Keterbiasaan tersebut menyebabkan generasi Z dapat dengan mudah mencari informasi dan mempelajari bagaimana investasi bekerja. Penelitian ini memakai metode survei digunakan untuk mengelompokkan data dari sampel yang mewakili generasi Z. Hasil analisis regresi logistik memperlihatkan jika faktor demografis, literasi keuangan, dan kecakapan teknologi memiliki pengaruhnya masing-masing terhadap tiap-tiap jenis investasi. Penelitian ini mengelompokkan berbagai investasi menjadi tiga kelompok yakni investasi surat berharga, investasi riil, dan investasi lainnya. Analisis regresi logistik metode logit memperlihatkan jika variabel penghasilan, literasi keuangan, serta kecakapan teknologi berdampak dengan signifikan pada preferensi jenis investasi surat berharga. Akan tetapi pada preferensi jenis investasi riil dan investasi lainnya, masing-masing dipengaruhi secaea signifikan oleh satu variabel saja. Prefrensi jenis investasi riil dipengaruhi oleh penghasilan sedangkan jenis investasi lainnya dipengaruhi oleh kecakapan teknologi. Hasil analisis regresi logistik metode logit menunjukkan bahwa preferensi jenis investasi yang dipilih oleh generasi Z dipengaruhi oleh variabel yang berbeda-beda.Kata Kunci: Preferensi, Generasi Z, Investasi, LogitJEL Klasifikasi: D11, J13, E22, C25
MONETARY POLICY CHALLENGES IN THE NEW NORMAL ERA: A SYSTEMATIC LITERATURE REVIEW Arifin, Samsul; Sayifullah, Sayifullah
Jurnal Ilmu Ekonomi dan Pembangunan Vol 22, No 2 (2022): Jurnal Ilmu Ekonomi dan Pembangunan
Publisher : EP FEB UNS

Show Abstract | Download Original | Original Source | Check in Google Scholar | DOI: 10.20961/jiep.v22i2.56222

Abstract

This paper aims to provide a systematic literature review (SLR) of studies conducted on the economic impact of the epidemic using the DSGE model. This research is guided by the PRISMA Preferred Reporting Items for Systematic Review and Meta-Analyses) statement, utilizing a systematic literature review (SLR) with Harzing's Publish or Perish software and Google Scholar as the primary sources, specifically focusing on the DSGE model's application. Under PRISMA, research is researched through three processes: 1) Defining clear research questions that allow systematic research, 2) Identifying inclusion and exclusion criteria, and 3) Examining a large database of scientific literature within a set time. A total of 11 out of 38 papers were identified and analyzed to provide a better understanding of the epidemiological model, the tradeoff of the lockdown policy between health and economy and the methodology adopted in the previous studies while the rest of the most recent studies appear to be related to the DSGE model with the adaptation of the epidemiological model during the Covid-19 pandemic. A total of four studies agree that many countries are imposing “lockdowns,” if not generally implementing “social distancing” to contain and potentially eliminate the virus.
CRITICAL ANALYSIS OF INVESTOR EDUCATION PROGRAMS IN INDIA'S CAPITAL MARKET: FOCUS ON SEBI Hayat, Mohsina
Jurnal Ilmu Ekonomi dan Pembangunan Vol 24, No 1 (2024): Jurnal Ilmu Ekonomi dan Pembangunan
Publisher : EP FEB UNS

Show Abstract | Download Original | Original Source | Check in Google Scholar | DOI: 10.20961/jiep.v24i1.80116

Abstract

The study aims to assess the effectiveness of these programs in enhancing investor awareness, confidence, and participation in the capital market. Utilizing a mixed-methods approach, including surveys, interviews, and analysis of secondary data, the research evaluates the strategies employed by SEBI, examines regulatory challenges, and measures the impact of these programs on investor behavior. The findings indicate that SEBI's initiatives have significantly improved investor knowledge and engagement, but there remain gaps in reaching rural and less-educated segments. The study also identifies areas for improvement, such as incorporating more digital tools and personalized educational content to keep pace with the rapidly evolving market landscape. These results provide valuable insights for policymakers, regulators, and educators to enhance the scope and effectiveness of investor education in India. By empowering investors with essential knowledge, these programs contribute to market integrity, financial inclusion, and the overall stability of the Indian capital market. Continuous monitoring, stakeholder feedback, and adaptive strategies are essential to maintaining the relevance and impact of investor education initiatives.
PREFERENSI MAHASISWA DALAM MENGGUNAKAN QUICK RESPONSE INDONESIAN STANDARD (QRIS) SEBAGAI ALAT PEMBAYARAN DIGITAL Fiatus Solihah Amalina, Kuni; Adhi Nugroho, Ariyanto
Jurnal Ilmu Ekonomi dan Pembangunan Vol 21, No 1 (2021): Jurnal Ilmu Ekonomi dan Pembangunan
Publisher : EP FEB UNS

Show Abstract | Download Original | Original Source | Check in Google Scholar | DOI: 10.20961/jiep.v21i1.88559

Abstract

Penelitian ini memiliki tujuan untuk melihat pengaruh perceived ease of use, perceived trust, dan perceived enjoyment terhadap behavioral intention pada aplikasi uang elektronik berbasis QRIS sebagai alat pembayaran digital. Penelitian ini termasuk dalam penelitian kuantitatif. Populasi dalam penelitian ini ialah mahasiswa aktif di Universitas di Kota Surakarta yang menggunakan aplikasi uang elektronik berbasis QRIS. Pengumpulan data menggunakan kusioner dengan teknik sampel kuota sebanyak 100 responden. Teknik analisis data menggunakan teknik analaisis regresi linier berganda dengan bantuan program IBM SPSS 28.0. Hasil penelitian menunjukan bahwa variabel bebas memiliki kontribusi sebesar 86,8% terhadap variabel terikat, sisanya 13,2% dijelaskan oleh variabel lainn diluar model penelitian. Hasil uji-t menunjukkan bahwa keseluruhan variabel bebas secara terpisah memiliki pengaruh yang positif dan signifikan terhadap behavioral intention pada aplikasi uang elektronik berbasis QRIS sebagai alat pembayaran digital. Hasil dari uji ANOVA, f-hitung diperoleh sebesar  218,266 > f-tabel (2,70), hal itu menjelaskan bahwa variabel bebas secara bersama-sama mempunyai pengaruh terhadap behavioral intention pada aplikasi uang elektronik berbasis QRIS sebagai alat pembayaran digital.Kata Kunci: Preferensi, Presepsi, Uang elektronik QRIS, Alat Pembayaran DigitalJEL Klasifikasi: D11, D91, E42
IMPACT OF COVID-19 ON FEMALE WORK PARTICIPATION IN INDONESIA: WHO IS MORE AFFECTED? Pravitasari, Clalisca; Nahar, Faiza Husnayeni
Jurnal Ilmu Ekonomi dan Pembangunan Vol 22, No 2 (2022): Jurnal Ilmu Ekonomi dan Pembangunan
Publisher : EP FEB UNS

Show Abstract | Download Original | Original Source | Check in Google Scholar | DOI: 10.20961/jiep.v22i2.52120

Abstract

This study aims to analyze the impact of Covid-19 on female work participation in Indonesia. Using microdata from the August 2020 National Labor Force Survey (Sakernas) conducted by the Central Statistics Agency, the study measures the impact through three indicators: unemployment, temporary non-working status, and reduced working hours. The survey included a sample size of 793,202 individuals aged 15 and over. Findings reveal that female workers are more likely to experience reduced working hours compared to male workers. These results highlight the disproportionate effects of the pandemic on women’s employment. The study underscores the need for targeted policy interventions to support women in the labor force, ensuring their economic resilience and recovery during and after the pandemic.
AFFECTING FACTORS FARMER WELFARE IN INDONESIA Maridjo, Herry; Mudayen, Yohanes Maria Vianey
Jurnal Ilmu Ekonomi dan Pembangunan Vol 23, No 2 (2023): Jurnal Ilmu Ekonomi dan Pembangunan
Publisher : EP FEB UNS

Show Abstract | Download Original | Original Source | Check in Google Scholar | DOI: 10.20961/jiep.v23i2.60442

Abstract

This study aims to analyze the factors influencing the economic welfare of farmer households in Indonesia, focusing on the impact of arable land area, total production costs, labor allocation, and the percentage of land ownership. The research also seeks to specify the agricultural household economic model and propose alternative policy measures to enhance farmer welfare. Utilizing data from the Indonesian Family Life Survey (IFLS), the study employs Ordinary Least Squares (OLS) and Fixed Effect panel data models for analysis. The findings reveal that larger arable land areas, increased workload, and higher percentages of owned land significantly improve national farming income, thereby enhancing farmer welfare. Conversely, higher total production costs negatively impact welfare levels in both upland and rice field contexts. The economic model's specifications across eight structural equations align well with theoretical expectations, indicating robustness and consistency with observed agricultural phenomena. Policy simulations suggest that promoting employment opportunities in the off-farm sector could be an effective strategy to boost farmer welfare. Such policies may lead to a reduction in labor allocated to agriculture, increased overall household income, higher expenditures on food consumption from agricultural outputs, and an expanded household income surplus. These findings provide valuable insights for policymakers aiming to formulate targeted interventions that address the challenges faced by farmers, ultimately improving their economic well-being and ensuring sustainable agricultural development in Indonesia.

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