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INDONESIA
Economac: Jurnal Ilmiah Ilmu Ekonomi
ISSN : 14123290     EISSN : 25499807     DOI : -
Core Subject : Economy,
ECONOMAC Journal provide opportunities for researchers and practitioners to publish the work in the form of research articles and ideas in the fields of Economics, Management and Accounting.
Arjuna Subject : -
Articles 55 Documents
The Composite Index Berbasis Variabel Makro: Analisis Kausalitas Data Time Series Irdha Yusra
Economac: Jurnal Ilmiah Ilmu Ekonomi Vol 3 No 1 (2019): Economac: Jurnal Ilmiah Ilmu Ekonomi Volume 3 Nomor 1 Bulan April 2019
Publisher : Universitas Negeri Padang

Show Abstract | Download Original | Original Source | Check in Google Scholar | Full PDF (947.055 KB) | DOI: 10.24036/economac/vol3-iss5/81

Abstract

The composite index is one indicator used by the government in making policies in the economic field. Previous research has proven the influence of macro variables on the composite index. The macro variables used in this study are inflation, SBI interest rates, and the exchange rate Indonesian Rupiah (IDR) to United States Dollar (USD). Furthermore, the aim of this paper is to predict the composite index based on macro variables in Indonesia. Time series data is taken from monthly data for three years (2015-2017). The design of this study is causal research estimated using time series regression. The results showed that inflation did not significantly influence the composite index. The result suggests that inflation is still quite stable during that period. Meanwhile, interest rates on Bank Indonesia certificates and exchange rates have a significant effect on the composite index. Thus, the ability of macro variables in predicting composite index can only be determined by SBI interest rates and exchange rates.
Work Values, Emotional Intelligence, Work Environment and Career Commitment among Gen Y Nur Damayanti; Khulida Kirana Yahya; Fee Yean Tan
Economac: Jurnal Ilmiah Ilmu Ekonomi Vol 3 No 1 (2019): Economac: Jurnal Ilmiah Ilmu Ekonomi Volume 3 Nomor 1 Bulan April 2019
Publisher : Universitas Negeri Padang

Show Abstract | Download Original | Original Source | Check in Google Scholar | Full PDF (1011.409 KB) | DOI: 10.24036/economac/vol3-iss5/84

Abstract

This article reviews the relationship between work values, emotional intelligence, work environment and career commitment in Indonesia banking industry. The future banking industry will be filled by Generation Y or millennial who has different behavior and characteristics of previous generations. Generation Y, known as a generation that is very expressive, confident but does not have a career commitment and is not interested in details and has a different view from the previous generation. Generation Y tends to think that they are able to compare with other companies and there is no emotional connection or loyalty to the company as the previous workforce. If they feel their expectations of career aren't being met, they will switch jobs. A pilot test of 50 respondents at Mandiri bank, Jakarta were surveyed. This finding reports the significant and positive impact of work values, emotional intelligence and work environment on career commitment. The result indicated that career commitment was influenced by work values, emotional intelligence and work environment. The discussion outlines the results of the research while the implications are taken to put forward the theoretical and practical contributions of this research.
Keputusan Pendanaan Dan Kebijakan Dividen Perusahaan Pada Tahap Growth Dan Mature Faznil Husna S. Rasyad; Suad Husnan
Economac: Jurnal Ilmiah Ilmu Ekonomi Vol 3 No 1 (2019): Economac: Jurnal Ilmiah Ilmu Ekonomi Volume 3 Nomor 1 Bulan April 2019
Publisher : Universitas Negeri Padang

Show Abstract | Download Original | Original Source | Check in Google Scholar | Full PDF (924.612 KB) | DOI: 10.24036/economac/vol3-iss5/71

Abstract

This study empirically examines the Pecking Order Theory and Dividend Residual Theory in growth and mature firms, whether the growth firms tend to be stronger following the Pecking Order Theory and Dividend Residual Theory than mature firms. In addition, this study also examine whether the proportion of long-term debt and the proportion of retained earnings growth firms higher than mature firms. The sample used is non-financial companies listed on the Indonesia Stock Exchange 2010-2013. Hypothesis testing using simple regression analysis and Independent Sample T-Test. The results showed that both groups of growth and mature firms not follow Pecking Order Theory in the capital structure decision, but for testing Dividend Residual Theory indicate that the growth firms tend to be stronger following the Dividend Residual Theory in dividend policy, while mature firms do not follow the Dividend Residual Theory in policy dividend. Independent Sample T-Test results showed that the proportion of long-term debt and the proportion of retained earnings growth firms higher than mature firms.
Analisa Laporan Keuangan Sebagai Prediksi Kebangkrutan Dengan Metode Z-score Pada 3 Jenis Bank di Indonesia Rizki Sri Lasmini
Economac: Jurnal Ilmiah Ilmu Ekonomi Vol 3 No 1 (2019): Economac: Jurnal Ilmiah Ilmu Ekonomi Volume 3 Nomor 1 Bulan April 2019
Publisher : Universitas Negeri Padang

Show Abstract | Download Original | Original Source | Check in Google Scholar | Full PDF (1119.801 KB) | DOI: 10.24036/economac/vol3-iss5/68

Abstract

This study aims to analyze the financial statements to predict bankruptcy by theAltman Z-score model. This study will classify 3 banking industry in Indonesia in terms of ownership and will predict their bankrupt. The bank are government banking, national private banking and joint venture banking . This study was conducted to determine the results of financial ratios for 5 years from 2010 to 2014, and to determine the Z-score obtained from the results of these ratios. Based on the Altman's Z-score method, there are 4 financial ratios used for non-manufacturing companies, namely liquidity ratios in the form of Net Working Capital to Total Assets (X1), profitability ratios of Retained Earning to Total Assets (X2) and Earning Before Interest and Tax to total Assets (X3), and capital of Book Value of Equity to Total Liability (X4).
Analisis Peran Leadership Style Pengusaha Wanita Dalam Meningkatkan Daya Hidup (Viability) Kluster UMKM Di Sumatera Barat Aimatul Yumna; Selli Nelonda
Economac: Jurnal Ilmiah Ilmu Ekonomi Vol 2 No 1 (2018): Economac: Jurnal Ilmiah Ilmu Ekonomi Volume 2 Nomor 1 Bulan April 2018.
Publisher : Universitas Negeri Padang

Show Abstract | Download Original | Original Source | Check in Google Scholar | Full PDF (420.741 KB) | DOI: 10.24036/economac/vol2-iss1/49

Abstract

This study aims to know and analyze how the role of leadership style, the influence of internal and external characteristics of female entrepreneurs in improving the endurance of SME clusters in West Sumatra. By using primary data and multiple regression model, there are several classification of business field dominating Micro Small Industry in West Sumatera, namely food industry, textile industry, apparel industry and craft industry and furniture industry. From the results of the study, the ability to survive (viability) of SMEs in West Sumatra is still small and will increase when UMKM participate in training and mentoring and led by women because it is considered more experienced even though low educated. The ability to survive which is represented by net profit margin will be bigger when SMEs expands the market out of province or abroad, while other variables are industry characteristic, entrepreneur characteristic and capital unrelated to the improvement of survival ability of SMEs.
Penerapan Knowledge Management Pada Universitas Negeri Padang Chichi Andriani
Economac: Jurnal Ilmiah Ilmu Ekonomi Vol 1 No 1 (2017)
Publisher : Universitas Negeri Padang

Show Abstract | Download Original | Original Source | Check in Google Scholar | Full PDF (628.652 KB) | DOI: 10.24036/2017117

Abstract

The purpose of this research was to explore the application of knowledge management at Universitas Negeri Padang. The population in this research are all lecturer at Universitas Negeri Padang. Sampling used by of stratified random sample with proportional sampling and get to the number 132 sample. The data in this research were collected through questionnaires and analyzed by descriptive analysis method and the rate of application of acquired knowledge management used by the level of achievement according to the analysis Forster. The results showed that the level of application of knowledge management is measured through the variable people (experience) obtained of 68.8%, the variable process (standard operational procedure) obtained of 64.4%, the variable technology obtained of 78% and for the implementation of knowledge management (people, process and technology) in total obtained value is 70.4%. TCR results obtained on each of the variables and the total value that the level of application of knowledge management at Universitas Negeri Padang are in the level of developing potential. It is indicated for knowledge management is still not yet applied by al members of the organization at Universitas Negeri Padang because had a influenced by cultural, term of office, faculty’s age and other factors.
Sistem Informasi, Produktivitas UMKM, Dan Kontribusi Pemerintah Pada Peningkatan Kesejahteraan Masyarakat Demi Mewujudkan Desa Balesari Sebagai Desa Wisata Endang Kartini; Supanji Setyawan; Deni Ramdani
Economac: Jurnal Ilmiah Ilmu Ekonomi Vol 1 No 1 (2017)
Publisher : Universitas Negeri Padang

Show Abstract | Download Original | Original Source | Check in Google Scholar | Full PDF (699.465 KB) | DOI: 10.24036/2017118

Abstract

Balesari village Windusari District of Magelang District designated as a village built Tidar University during the period of 3 years. So, the researchers wanted to identify the productivity of SMEs in the village Balesari and the government's contribution to improving the welfare of society, especially in order to realize Balesari village as a tourist village. The observations were made with the sorting of data samples that match the criteria, using purposive sampling research sample using at least 5-8 respondents in each village, bringing the total amount to more than 30 samples. This study examined the role of accounting information system through the development of SME productivity. The mechanism accounting information system development there are some procedures that need to be understood and followed by the village community in order to obtain authorization Balesari administratively, ie License, IUI, TDI, HO Permit and others. Exploration Balesari village aims to create value added activities so that it can bring in revenue and tourists.
Pengaruh Pembentukan Modal dan Ekspor Terhadap Pertumbuhan Ekonomi Indonesia Khairul Amri; Hasdi Aimon
Economac: Jurnal Ilmiah Ilmu Ekonomi Vol 1 No 1 (2017)
Publisher : Universitas Negeri Padang

Show Abstract | Download Original | Original Source | Check in Google Scholar | Full PDF (987.65 KB) | DOI: 10.24036/2017119

Abstract

Penelitian ini bertujuan untuk menganalisis pengaruh pembentukan modal dan ekspor terhadap pertumbuhan ekonomi Indonesia serta menguji hubungan kausalitas antara ketiga variabel tersebut. Data yang digunakan adalah data kwartal selama periode 2000.1-2013.4. Peralatan analisis data yang digunakan adalah Cointegration Test, Vector Error Correction Model (VECM) dan Granger Causality Test. Penelitian mengungkapkan adanya hubungan jangka panjang antara pertumbuhan ekonomi, pembentukan modal dan ekspor. Dalam jangka pandek, pertumbuhan ekonomi dipengaruhi oleh pembentukan modal.Pengaruh positif pembentukan modal terhadap pertumbuhan ekonomi terjadi pada lag1 dan lag2.Selanjutnya pembentukan modal secara nyata dipengaruhi oleh pertumbuhan ekonomi pada kwartal sebelumnya.Hasil uji granger causality test memberikan bukti empiris terdapat hubungan kausalitas dua arah antara PMTB dan PDB dan antara ekspor dan PDB. Sebaliknya tidak terdapat hubungan kausalitas antara PMTB dan ekspor.
Penggunaan Model Indeks Tunggal Untuk Investasi Portofolio Saham Di Bursa Efek Halkadri Fitra
Economac: Jurnal Ilmiah Ilmu Ekonomi Vol 1 No 1 (2017)
Publisher : Universitas Negeri Padang

Show Abstract | Download Original | Original Source | Check in Google Scholar | Full PDF (656.479 KB) | DOI: 10.24036/20171110

Abstract

This study aims to determine: 1) the value of return and risk of individual securities shares, 2) the value of return and risk stock portfolio, 3) the value of return and risk of optimal portfolios using single index model and 4) determine stocks of companies that can be community options listed in the Jakarta Islamic Index. This research was conducted using secondary data obtained from the Indonesia Stock Exchange in the form of IDX monthly and annually, ICMD and as well as data from secondary documents other with the object of research is all the shares of companies listed in the Jakarta Islamic Index Indonesia Stock Exchange from January 2013 to September 2016. The results showed that the average return is the highest individual share with a value of 0.4060 contained in the company of PT. Perusahaan Gas Negara (Persero), Tbk. and the lowest was in the company of PT. PP London Sumatra Indonesia Tbk with a value -0.3488. As for the shares that the highest variance is worth 0.0233 on PT. PP London Sumatra Indonesia Tbk, and the smallest is worth 0.0033 contained in the company of PT. Telekomunikasi Indonesia (Persero), Tbk. Furthermore, the market return is worth 0.0055, and market risk is worth 0.0017 and the return expectations of the portfolio is worth 0.01808, while the variance portfolio worth 0.00545. Research also get a result there are three that form the optimal portfolio of securities, namely PT. Telekomunikasi Indonesia (Persero), Tbk with a share of 45.95%, followed by PT. Indofood CBP Sukses Makmur, Tbk with a share of 27.76%, and the latter is PT. Unilever Indonesia, Tbk with a portion of 26.29%.
Pengaruh Tata Kelola Perusahaan Dan Struktur Kepemilikan Terhadap Jumlah Pengungkapan PSAK Berbasis IFRS Vanica Serly
Economac: Jurnal Ilmiah Ilmu Ekonomi Vol 1 No 1 (2017)
Publisher : Universitas Negeri Padang

Show Abstract | Download Original | Original Source | Check in Google Scholar | Full PDF (584.664 KB) | DOI: 10.24036/20171111

Abstract

This study aims to determine the level of disclosure compliance with Indonesia Accounting Standard (PSAK) convergence to International Financial Reporting Standards (IFRS) in manufacture companies in 2011-2012. Furthermore, this study aims to determine the effect of the structure of corporate governance (CG), ownership structure and company characteristics to the level of disclosure compliance with Indonesia Accounting Standards convergence to IFRS. Structure of corporate governance is measured by proportion of independent commissioner and audit committee. While ownership structures are measured by ownership concentration, international ownership and institutional ownership. Company characteristics are measured by size of the company, profitability and leverage. These results indicate that the level of disclosure compliance with Indonesia Accounting Standards convergence to IFRS in the manufacture companies is 80.33%. The multiple regression test showed that structure of corporate governance variables that affect compliance is the proportion of independent commissioner, the number of audit committee, ownership concentration, international ownership, institutional ownership, profitability and leverage had no effect on the level of disclosure compliance with Indonesia Accounting Standards convergence to IFRS. While the variable, namely size of the company had effect on the level of disclosure compliance. The regression also showed that the variable had R2 = 0.109. it means that the independent variable only influence the dependent variable for 10.9%.