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Contact Name
RISAL
Contact Email
risal@wirabhaktimakassar.ac.id
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+6221-5655508
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submisipaper@fe.untar.ac.id
Editorial Address
Fakultas Ekonomi dan Bisnis, Kampus 2 Universitas Tarumanagara. Jln. Tanjung Duren Utara No. 1, Grogol, Jakarta Barat, DKI Jakarta, Indonesia, 11470.
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Kota adm. jakarta barat,
Dki jakarta
INDONESIA
Jurnal Ekonomi
ISSN : 08549842     EISSN : 25804901     DOI : https://doi.org/10.24912/je.v30i1.2645
Core Subject : Economy,
Jurnal Ekonomi is intended to be the journal for publishing articles reporting the results of economics research. Jurnal Ekonomi invites manuscripts on the various topics include, but are not limited to, topics covered include: Business Studies, Ethics Education Issues, Entrepreneurship Services, Strategic Alliances Microeconomics Behavioural and Health Economics Government Regulation, Taxation Macroeconomics Financial Markets, Investment, Banking International Economics, FDI Economic Development Environmental Studies, Urban Issues, Emerging Markets Empirical Studies, Quantitative/Experimental Methods
Articles 636 Documents
Implikasi Dan Tantangan Pembentukan Komunitas Ekonomi ASEAN Terhadap Perekonomian Nasional Carunia Mulya Firdausy
Jurnal Ekonomi Vol. 15 No. 3 (2010): November 2010
Publisher : Fakultas Ekonom dan Bisnis, Universitas Tarumanagara

Show Abstract | Download Original | Original Source | Check in Google Scholar | DOI: 10.24912/je.v15i3.169

Abstract

ASEAN Economic Community (AEC) has been agreed by the ASEAN leaders in 2003 as one mechanism to increase the social-economic welfare of the people in ASEAN countries. Whilst it is no doubt the formation of AEC will give many benefits to ASEAN countries, there will be also negative impacts of the AEC. This paper aimed at analysing the implication and challenges of the formation of the ASEAN Economic Community (AEC) toward the Indonesian economy with particular attention to the agricultural sector and the micro and small-medium enterprises (SMEs) development. The paper argues inter alia that the formation of AEC will give benefit ASEAN countries if and only if the ASEAN community has one voice in socio-economic and political commitment and coordination. The economic sectors that need further greater improvement toward the success of the formation are the agricultural sector and the micro, small and medium enterprises. Thus, much remain to be done by ASEAN countries in general and in Indonesia in particular toward the success of the formation of AEC.
Perspektif Ekonomi Islam Dalam Sustainable Develoment Pada Produktifitas Petani Pedesaan R. Bambang Budhijana
Jurnal Ekonomi Vol. 15 No. 3 (2010): November 2010
Publisher : Fakultas Ekonom dan Bisnis, Universitas Tarumanagara

Show Abstract | Download Original | Original Source | Check in Google Scholar | DOI: 10.24912/je.v15i3.170

Abstract

This study aims to observe the development of farmer institutions and productivity in the aspects of sustainable development. This research was conducted in Karawang regency and Indramayu for 3 months between the months of May to July 2010. Research findings show the establishment of mutual trust. The trust is the result of interactions involving farmer productivity and their community. These communities may contain contradictions in terms of social competition, ego-sectoral without presenting technological innovation. Farmer institutions and productivity in the aspects of sustainable development usually cover economic institutional (E), Sharia Compliance (C), Cultural and Environment (B) and Government Policies (K). Rural communities have a strong social capital. Several indicators of social capital in improving natural resources is to strengthen solidarity, social management, networking, social structure and the local community cooperativeness. Instead of social capital, economic development is more influenced by society's ability to allocate natural resources, human capital and spiritual capital (like good moral values and ethics). However, social capital, human capital and spiritual capital will productively have mutual trust, mutual respect and mutual benefit which are more extensive.
Strategi Petani Gurem Dalam Penanggulangan Kemiskinan Melalui Permintaan Kredit Di Kabupaten Kampar Provinsi Riau Caska
Jurnal Ekonomi Vol. 15 No. 3 (2010): November 2010
Publisher : Fakultas Ekonom dan Bisnis, Universitas Tarumanagara

Show Abstract | Download Original | Original Source | Check in Google Scholar | DOI: 10.24912/je.v15i3.171

Abstract

The research is purposed to understand the factor determining a credit demand and the efficiency level of the user of production factor. The research method used is the explanatory survey method. We have 120 level scale farmers of oil palm as the customers, consisting of 60 customers in both Mandiri bank and KUD. The results shows that: first, there is a connection according to a credit demand,we will have the level elasticity of interest rate of credit as -0.248; the elasticity of administration expense as 0.217; the elasticity of permanent income as 0.739; and the elasticity of transitory income as 0.077. Second, the factor of workforce productivity in the decreasing returns to scale position, means that the amount of oil palm production will increase with lower proportion than the increase of work force expanse; and the financial capital factor in the increasing returns to scale means that the amount of oil palm production will increase with a higher proportion than the increase of financial capital.
Analisis Kinerja Bank Syariah Dian Indiyati; V. Santi Paramitha
Jurnal Ekonomi Vol. 15 No. 3 (2010): November 2010
Publisher : Fakultas Ekonom dan Bisnis, Universitas Tarumanagara

Show Abstract | Download Original | Original Source | Check in Google Scholar | DOI: 10.24912/je.v15i3.172

Abstract

A bank performance measured by the CAMEL method is a comprehensive indicator of the benefits. Any parties have put interest to the result of value in healthy level, including the management as a successful standard in their administration, Bank Indonesia as the supervision agent, and public as the customer. The study aimed to analyze the performance of bank Syariah with independent operational, Bank Syariah Mandiri and Bank Muamalat Indonesia, by using 4 years-quarterly financial reports. Generally, the study shows that in the research period, Bank Syariah Mandiri has got the healthy in the valuation, while Bank Muamalat Indonesia is sufficient in healthy.
Strategi Pengembangan Nano Teknologi Dalam Rangka Peningkatan Daya Saing Industri Pertanian Nasional Dengan Menggunakan SWOT-ANP Nurul Taufiqu Rochman; Gumbira Sa'id; Arief Daryanto; Nunung Nuryartono
Jurnal Ekonomi Vol. 15 No. 3 (2010): November 2010
Publisher : Fakultas Ekonom dan Bisnis, Universitas Tarumanagara

Show Abstract | Download Original | Original Source | Check in Google Scholar | DOI: 10.24912/je.v15i3.173

Abstract

Nanotechnology is believed to give a significant added value to the agricultural industry. Various applications of nanotechnology provide opportunities for improving the global competitiveness of the agricultural industry. This study aims to assess nanotechnology development strategy at the national agricultural industry by using the quantitative SWOT method and ANP in BOCR (benefit, opportunity, cost, risk) perspective. The results from these two approaches were then compared. There were four stages of the research procedure that consists of 1) analyzing agricultural industries that apply nanotechnology using quantitative SWOT, 2) formulating nanotechnology development strategy in the TOWS matrix quantitatively, 3) determining strategy alternative for developing nanotechnology in the agricultural industry with ANP in BOCR perspective and 4) assessing comparatively weight value of each strategy alternative using quantitative SWOT and ANP in BOCR perspective. Data were collected by conducting FGD (group discussion forum) for 20 participants and a questionnaire to 10 experts in the field of food chemistry, agriculture, nanotechnology and policy. Results show that in the formulation of nanotechnology development strategy on national agriculture industry, aspects of opportunities and positive impact are taken to account more than that risk and economic aspects. ANP results indicate that nanotechnology development in the national agricultural industry is still in the early stage where the strategy that leads to increased mastery of technology is paid more intention than the implementation of research result itself, socialization of nanotechnology safety and governance of policies. Strategy formulation done by ANP in BOCR perspective is slightly different than that done by quantitative SWOT method which uses only independent variables. The result of this study can be used as a reference for stakeholders for strategic decision making in relation to improving the competitiveness of the national agricultural industry through the development of nanotechnology.
Pengaruh Karakteristik Perusahaan Terhadap Struktur Modal Dinamis (Pendekatan Nilai Pasar) Di Bursa Efek Indonesia Herman Ruslim
Jurnal Ekonomi Vol. 15 No. 3 (2010): November 2010
Publisher : Fakultas Ekonom dan Bisnis, Universitas Tarumanagara

Show Abstract | Download Original | Original Source | Check in Google Scholar | DOI: 10.24912/je.v15i3.174

Abstract

In financing its activity, a firm depends on its capital structure. Although the nature of financing activities through debt and equity is dynamic, the underlying motivation for selecting proper capital structure remains a puzzle. This research attempts to study the effect of stock return and the firm's characteristics on dynamic capital structure. This research used a sample of the 56 companies, which are listed in the Indonesia Stock Exchange (BEI) of the period from 1998 to 2007. The analysis method used in this research was time series analysis with a generalized method of moment technique (GMM). The research results indicated that the firm did not make an adjustment to achieve the target capital structure referring to tradeoff theory, based on time series analysis it is concluded that firm characteristic has a significant effect on dynamic capital structure such as profitability, retained earning, long term debt and growth opportunity. It was found that the firm characteristic in size and operating risk does not have a significant effect on the dynamic capital structure. Despite these, the firm characteristics have a significant effect simultaneously on the dynamic capital structure.
Analisis Pengaruh Nilai Tukar Rupiah Per Dolar AS, Tingkat Suku Bunga SBI, Dan Inflasi Indeks Harga Konsumen (IHK) Terhadap IHSG Di BEI Periode 2003-2008 Fransisca Kurnia; Linda Santioso
Jurnal Ekonomi Vol. 15 No. 3 (2010): November 2010
Publisher : Fakultas Ekonom dan Bisnis, Universitas Tarumanagara

Show Abstract | Download Original | Original Source | Check in Google Scholar | DOI: 10.24912/je.v15i3.175

Abstract

The financial statement is an important thing for a company. The financial statement of the company can indicate the company's condition and the investors always wait for it to set their investments. The purpose of this survey is to observe whether the Rupiah exchange rate per US Dollars, the Interest rate of SBI and Inflation of Consumer Price Index (CPI) have influenced Composite Stock Price Index at Jakarta Stock Exchange either through partial and also simultaneous. The result shows that the variable of Interest rate of SBI and Inflation of Consumer Price Index (CPI) significantly influence the Composite Stock Price Index. If it is analyzed simultaneously, three variables have significant influences on the Composite Stock Price Index.
Dampak Inflasi Dan Kurs Terhadap Biaya Produksi Sarwo Edy Handoyo; Elvi
Jurnal Ekonomi Vol. 15 No. 3 (2010): November 2010
Publisher : Fakultas Ekonom dan Bisnis, Universitas Tarumanagara

Show Abstract | Download Original | Original Source | Check in Google Scholar | DOI: 10.24912/je.v15i3.176

Abstract

This research was conducted to determine whether there is a significant relationship between inflation and exchange rate against the company's production costs. The data used are secondary data where the dependent variable data obtained from the cost of production period January 2006 - December 2007, while for the independent variables obtained from inflation and exchange rate for the period January 2006 - December 2007. Methods of data collection are done by using observations. To find out the results of this study, the classical assumption testing and testing hypotheses of multiple regression models with the help of the computer program SPSS version 14.00. Based on the analysis and discussion that has been done, the conclusion is that there is a significant relationship between inflation and exchange rate against the company's production costs for the period January 2006 to December 2007.
Faktor-Faktor Yang Mempengaruhi Tingkat Underpriced Saham Perdana Pada Perusahaan Go Public Yang Terdaftar Di Bursa Efek Indonesia Yusbardini; Christine
Jurnal Ekonomi Vol. 15 No. 3 (2010): November 2010
Publisher : Fakultas Ekonom dan Bisnis, Universitas Tarumanagara

Show Abstract | Download Original | Original Source | Check in Google Scholar | DOI: 10.24912/je.v15i3.177

Abstract

Actions by the company in conducting an initial public offering or initial public offering (IPO) is an attempt to obtain new funding sources to finance the company's activities, expansion or other investment activities. Price IPO at the IPO is determined upon agreement between the issuer with an underwriter. But in setting the IPO price and information asymmetry sometimes arise between the interests of both parties. From the side of the underwriters, they have information that is more diverse than the issuer so the underwriter is a big chance. This study aimed to identify factors that predicted the factors influencing the level of underpricing in the IPO pricing at the time of initial public offering (IPO), either partially or in companies that go public in Indonesia Stock Exchange (IDX) during the period 2004-2007. The sample taken is a company listed on the Stock Exchange from 2004-2007 and had underpriced. The number of samples that meets the criteria there are 34 companies. To obtain the information needed to process data collection through the documentation. The hypothesis was tested with a multiple linear regression model. From the results of a study of 34 sample companies, indicating that the four factors above, there is no single factor affecting the level of underpriced IPO firms go public during the period 2004-2007 is partially or simultaneously. Suggested authors for future research should increase research time so that samples taken will be more and add another variable to be tested in the can from the company's prospectus.
Kinerja Keuangan Pemerintah Provinsi Sumatera Selatan Berdasarkan Anggaran Pendapatan Dan Belanja Daerah (APBD) Tahun 2009-2015 Welly; Lis Djuniar
Jurnal Ekonomi Vol. 22 No. 1 (2017): March 2017
Publisher : Fakultas Ekonom dan Bisnis, Universitas Tarumanagara

Show Abstract | Download Original | Original Source | Check in Google Scholar | DOI: 10.24912/je.v22i1.178

Abstract

This study aims to determine the performance of South Sumatra province. The conclusive type of the study is described in descriptive where the variables are financial ratios and government performance. Data used are primary and secondary data which are collected by documentation and interviews. Data analyses used are qualitative and quantitative analysis. Results of the study showed the average self-sufficiency ratio is 41,21% in low categorized where can be seen from the central government transfers funds revenue is still large, while the potential of PAD is not optimal yet. The average effectiveness ratio is 96,31% in the effective categorized which can be seen from the realizations to the targets which have not reached 100%. The average ratio of expenditure operation activities is 64,49%, while the capital expenditures are 21,74%, operating expenditure can be seen from particular personnel, goods/services and grants are still high, which grants 2011-2015 expenditure continues increasingly. The average ratio of expenditure management is 94,23% which shows the total expenditure does not exceed the total income which happened during the budget surplus year except 2013. The ratio income and growth of PAD has been in good positive growth except in 2013. The growth of expenditure operation is still high compared to the ratio of capital expenditures growth. Thus the performance of government financial management of South Sumatra province 2009 2015 period is quite well.

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