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AFEBI Economic and Finance Review
ISSN : 25485261     EISSN : 2548527X     DOI : -
Core Subject : Economy,
AFEBI Economic and Finance Review (AEFR) is an academic journal which is published twice a year (June and December) by The Association of The Faculty of Economics and Business Indonesia. AEFR is aimed as an outlet for theoretical and empirical research in the field of economics and to disseminate the information of the economics research was conducted by members of AFEBI in particular and researchers in general to the academics, practitioners, students, and others who interested in economics research.
Arjuna Subject : -
Articles 6 Documents
Search results for , issue "Vol. 8 No. 1 (2023): June" : 6 Documents clear
Benefit Incidence Analysis on Bidikmisi Program Innayah, Nur; Arianti, Fitrie
AFEBI Economic and Finance Review Vol. 8 No. 1 (2023): June
Publisher : Asosiasi Fakultas Ekonomi dan Bisnis Indonesia

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Abstract

One of the ways to improve the quality of human resources is by providing educational assistance programs for students who wish to continue their education to higher education. Bidikmisi is one of the scholarship programs provided by the government in helping prospective students, especially those who are less fortunate, to pursue higher education.This study focuses on analyzing the impact of the application of the Bidikmisi scholarship using the Benefit Incidence Analysis (BIA) method. The data used in this study are primary data. Data was collected using a survey method through questionnaires distributed to Bidikmisi students who were the sample. The sample used is Bidikmisi students with active status at Diponegoro University from class 2017, 2018 and 2019. The results of this study indicate that the Bidikmisi program at Diponegoro University is a progressive policy. The university as the organizer of the bidikmisi program is considered appropriate in providing the obligations of bidikmisi recipients to bidikmisi students at Diponegoro University. The group of students with the lowest level of parental income gets a 33 percent distribution of benefits from the Bidikmisi program funds. The concentration curve lies above the 45 degree diagonal line, so the 10 percent of students with the lowest income level (first quintile) in the population receive more than 10 percent of the benefits of the subsidy so that the distribution of benefits can be said to be progressive in absolute terms
The Effect of News Announcements on the Volatility of Share Prices of PT. Bank Syariah Indonesia Tbk Alamsyah, Muhammad Fajar; Asri, Wenny Nadya; Intani, Fitria; Sofia; Jumadi, Sri Wahyuni; Habbe, Abdul Hamid; Mediaty
AFEBI Economic and Finance Review Vol. 8 No. 1 (2023): June
Publisher : Asosiasi Fakultas Ekonomi dan Bisnis Indonesia

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Abstract

This study analyzes the effect of news announcement on stock price volatility of PT Bank Syariah Indonesia Tbk (BSI). Using a quantitative approach, historical data of BSI stock prices and relevant news announcements were collected for the study period. Through regression analysis, this study found a significant influence between news announcements and BSI stock price volatility. News announcements containing important information about a company's performance or management changes can lead to significant stock price fluctuations. These results provide insights for investors and market participants in managing risks and making appropriate investment decisions. The practical implication is the importance of paying attention to recent news announcements for risk management. Further studies could involve other factors that affect BSI's share price volatility and look at the long-term impact of news announcements on overall company performance.
Deciphering Financial Health and Risk: Hierarchical Relationships and Interdependencies among Key Factors Jain, Mayank; Malik, Taniya
AFEBI Economic and Finance Review Vol. 8 No. 1 (2023): June
Publisher : Asosiasi Fakultas Ekonomi dan Bisnis Indonesia

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Abstract

This study investigates the hierarchical relationships and interdependencies among various financial factors influencing companies' health. By employing Total Interpretive Structural Modeling (TISM) and Matrice d'Impacts Croisés Multiplication Appliquée à un Classement (MICMAC) analyses, the research identifies vital financial factors and their mutual influences. The study's primary findings reveal credit risk as a pivotal, independent factor with a substantial impact on other financial parameters. Furthermore, solvency, capital adequacy, and Tier 1 capital ratios emerge as fundamental determinants of a company's financial health. The MICMAC analysis classifies financial factors into four categories: independent, linkage, autonomous, and dependent. This research offers valuable insights for managers, policymakers, and investors in understanding the financial health of companies, enabling them to make well-informed decisions focusing on critical factors such as credit risk, solvency, and liquidity.
Socio-Economic Life of the Chinese Community Rozi; Setyawan, Ryand Daddy
AFEBI Economic and Finance Review Vol. 8 No. 1 (2023): June
Publisher : Asosiasi Fakultas Ekonomi dan Bisnis Indonesia

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Abstract

The discourse related to the socio-economic life of the Chinese community in Belitung Regency is certainly interesting to study. Moreover, there are quite a lot of ethnic Chinese in Belitung Regency. Therefore, the researcher feels that this research is important to do to see more about the socio-economic life of the Chinese community there. The type of this research is field research using a descriptive analysis approach. Researchers collect data by means of interviews, observation, and documentation. The results of this study can be understood that the existence of ethnic Chinese greatly influences the socio-economic life in Belitung Regency. In social life they can mingle and interact well with indigenous peoples. In terms of economic life, their existence is able to influence the economic sector of the local community. Keywords: Socio, Economic, Chinese, Belitung Regency
Ethical Perceptions of Tax Evasion for Small Business Taxpayers Ifada, Ardhelia; Ginting, Yoremia Lestari
AFEBI Economic and Finance Review Vol. 8 No. 1 (2023): June
Publisher : Asosiasi Fakultas Ekonomi dan Bisnis Indonesia

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Abstract

This study aims to examine the effect of tax justice, the tax system, tax discrimination, and the love of money on tax evasion. This type of research was carried out by quantitative research and using primary data. The population in this study is MSME taxpayers who are registered at the Samarinda Ilir and Ulu Tax Office. The sampling method used purposive sampling, the data obtained by 75 small business taxpayer respondents through distributing questionnaires and Google forms. The analytical method for managing data uses multiple regression analysis in the SPSS 29 application, and in analyzing the data in this study using descriptive statistics, classical assumption tests, and hypothesis testing. The theory used in this study is the Theory of Planned Behavior (TPB) using three components, namely attitudes toward behavior, subjective norms, and behavioral control. The results of this study indicate that the four variables have a positive and significant effect on tax evasion
The Effect of Public Expenditure and Economic Complexity on Income Disparity in Indonesia Rachely, Balqys; Bashir, Abdul; Rohima, Siti
AFEBI Economic and Finance Review Vol. 8 No. 1 (2023): June
Publisher : Asosiasi Fakultas Ekonomi dan Bisnis Indonesia

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Abstract

Income distribution disparity is an economic issue addressed within the framework of the Sustainable Development Goals (SDGs), as it can have adverse effects on a country's socio-political landscape. This study aims to determine the impact of healthcare expenditure, educational expenditure, social spending, and trade on income distribution disparities in Indonesia. This research is of a quantitative nature, utilizing secondary data obtained from various sources, including the Directorate General of Fiscal Balance (DJPK) and the Central Bureau of Statistics (BPS). The analytical approach employed involves panel data regression analysis using the Random Effect Model (REM). The research scope encompasses all 34 provinces in Indonesia from 2010 to 2022. The findings reveal that both collectively and individually, healthcare expenditure, education expenditure, social protection spending, and trade significantly influence income distribution disparities in Indonesia. Specifically, investment in healthcare and education exhibits a negative correlation with income disparity, while social protection spending and trade displays a positive correlation.

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