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INDONESIA
JURNAL BISNIS STRATEGI
Published by Universitas Diponegoro
ISSN : 14101246     EISSN : 25801171     DOI : -
Core Subject : Economy, Science,
Jurnal Bisnis Strategi ( P-ISSN : 1410-1246, E-ISSN : 2580-1171 ) is an open access and peer-reviewed published by Department of Magister Management, Faculty of Economics and Business, Universitas Diponegoro, Indonesia. This journal published twice a year (juli and desember). The scope of journal is Business Strategy, Strategic Management, Financial Management, Organization, Human Resource Management, Organizational Behavior, Marketing, Marketing Strategy.
Arjuna Subject : -
Articles 381 Documents
PENGARUH UKURAN BANK, BOPO, RISIKO KREDIT, KINERJA KREDIT, DAN KEKUATAN PASAR TERHADAP NET INTEREST MARGIN (Studi Perbandingan pada Bank Persero dan Bank Asing Periode Tahun 2008-2012) NIHAYATI, AINI; WAHYUDI, SUGENG; SYAICHU, MUHAMMAD
JURNAL BISNIS STRATEGI Vol 23, No 2 (2014): Desember
Publisher : Magister Manajemen, Fakultas Ekonomika dan Bisnis Undip

Show Abstract | Download Original | Original Source | Check in Google Scholar | Full PDF (792.459 KB) | DOI: 10.14710/jbs.23.2.14-44

Abstract

AbstractThis research intends to analyze the influence of Bank Size, Operational Cost of Operational Income (or BOPO), Credit Risk, Credit Performance and Market Power on the Net Interest Margin (NIM). It examines arrange of data set from Persero and Foreign Banks between2008-2012. As such, the goal of this research is to determine whether there arecomparative differences in the influence of Bank Size, BOPO, Credit Risk, CreditPerformance and Market Power on the NIM of Persero and Foreign Banks.The researcher utilizes purposive sampling method with four Persero Banks and four Foreign  Bank from period 2008-2012. This research used multiple regression analysis, Classical Test  Assumptions and Goodness of Fit Test. A Chow test is carried out to find out whether there  are comparative differences in the effects of Bank Size, BOPO, Credit Risk, Credit  Performance and Market Power on the NIM of Persero and Foreign Banks.Findings from this research conclude that Bank Size does not have significant effect on the NIM of sampled Persero and Foreign Banks. In Persero Banks, BOPO has negative effect on NIM; Credit Risk, Credit Performance and Market Power has positive effect on NIM. Meanwhile, in Foreign Banks, BOPO and Credit Performance has negative effect on NIM; Credit Risk and Market Power has positive effect on NIM. Based on the Chow Test result, it can be inferred that, there are comparative differences in the influence of Bank Size, BOPO, Credit Risk, Credit Performance and Market Power on the NIM of Persero and Foreign Banks. 
Manajemen Strategi Dalam Lingkungan Bisnis Baru Syafruddin, Muchammad
JURNAL BISNIS STRATEGI Vol 3, No 2 (1999): Juli
Publisher : Magister Manajemen, Fakultas Ekonomika dan Bisnis Undip

Show Abstract | Download Original | Original Source | Check in Google Scholar | Full PDF (944.786 KB) | DOI: 10.14710/jbs.3.2.50-62

Abstract

Artikel ini didasarkan pada asumsi  atau keyakinan bahwa  manajemen straegi manajemen (sebagai proses perencanaan, tindakan,  dan evaluasi srategi)  harus didasarkan pada teori  kecookan (fit).  Secara khusus  artikel  ini memprediksi bahwa  di masa akan  datang  (satu  dekade hingga beberapa dekade kemudian),  segala  sesuatu pasti  berubah secara radikal, jika dibandingkan dengan saat  ini. Perubahan­ perubahan secara  mendasar ini kemudian menubah paradigma model manajemen secara keseluruhan,  baik menyangkut peran manusianya dalam  organisasi maupun karakteristik organisasi secara keseluruhan. Selanjutnya semua ini akan  berpengaruh terhadap model manajemen strategi,  baik secara  keseluruhan maupun partial (seperti manajemen strategi kontrol  organisasi, pemasaran, produksi,  dan lainnya).  Ini merupakan bentuk  konsekuensi dari pandangan teori keccokan (fit) tadi. Bentuk­bentuk perubahan yang akan terjadi dijelaskan dalam  konteks organsasional,  Untuk itu perbandingan konteks  organisasional menyangkut perilaku manusia maupun rancangan organisasinya disajikan dengan  membandingkan  antara kondisi saat  ini dengan  kondisi yang mungkin muncul di masa  akan datang. Berbagai perubahan yang akan  terjadi  ini, harus  diperhitungkan sejak  sekarang dalam rangka  menetapkan kecocokannya dengan pilihan manajemen strategi
INOVASI DAN ASET STRATEJIK DALAM PENINGKATAN KINERJA PERUSAHAAN: MODEL EMPlRIK TERINTEGRASI BERJENJANG PADA INDUSTRI FARMASI DI INDONESIA. Sufian, Syuhada
JURNAL BISNIS STRATEGI Vol 17, No 1 (2008): Juli
Publisher : Magister Manajemen, Fakultas Ekonomika dan Bisnis Undip

Show Abstract | Download Original | Original Source | Check in Google Scholar | Full PDF (1461.028 KB) | DOI: 10.14710/jbs.17.1.31-48

Abstract

Penelitian empirik yang berkaitan dengan inovasi dan aset stratejik, masih relative Jarang dilakukan di Negara berkembang. Penelitian inf bertujuan untuk membangun model peningkatan kualitas aset stratejik dan inovasi secara terintegrasi berjenjang dalam peningkatan kinerja perusahaan. Penelitian menggunakan model two step approach sequential equation modelling dengan responden manager papan atas sebanyak 121 perusahaan farmasi di lndonesia. Hasil penelitian ini menyimpulkan bahwa peningkatan kinerja perusahaan diperoleh terutama dari pengembangan kualitas aset stretejik yang didukung oleh pengembangan strategi inovasi. Pengembangan aset stratejik dilakukan dengan peningkatan proses pembelajaran organisasional internal dan proses pembelajaran eksternal. Proses pembelajaran organisasional eksternal dipengaruhi oleh kualitas aliansi stratejik yang didukung oleh budaya orientasi pasar. Proses pembelajaran organisasional eksternal ini belum banyak berperan dalam peningkatan inovasi yang berpengaruh langsung terhadap kinerja perusahaan.
ANALISIS PENGARUH DEBT TO EQUITY RATIO, RETURN ON ASSET, DAN CURRENT RATIO (Studi pada Industri Manufaktur di Bursa Efek Indonesia Periode Tahun 2010-2012) Yasin, Achmad Agus; Chabachib, M.; Haryanto, Mulyo
JURNAL BISNIS STRATEGI Vol 22, No 2 (2013): Desember
Publisher : Magister Manajemen, Fakultas Ekonomika dan Bisnis Undip

Show Abstract | Download Original | Original Source | Check in Google Scholar | Full PDF (134.181 KB) | DOI: 10.14710/jbs.22.2.128-144

Abstract

This research  was held to test the influence of DER, profitability,  and liquidity  toward  DPR to increase  company  value. The problems  in this research gap from the former  research and the fenomena bussiness gap from the manufacturing company data over period 2010-2012 in the Indonesian  Capital  Market  Directory.  Therefore a deeper  research  to obrserve the problems  which  influent DPR and company  value with reasonable theory is needed.  The factors consist of DER, profitability,  and liquidity  variables.Sampling technique used is purposive sampling with criteria  as manufacturing  industry in IDX who provide financial report and traded during period 2009 through 2012 and forwarded to ICMD.  The Data is based on publicity Indonesia Market Directory since 2009 to 2012. Obtained by amount sampel as much 15 company from 185 manufacturing industry in IDX2009-2012  period. Analysis technique used is doubled regression with smallest squareequation and hypothesis  test use t-statistic to test coefficient of regression  partial and also f-statistic to test the truth of collectively influence in level of significance  5%. Others also done a classic  assumption  test covering normality test, multicolinierity test, and heteroscedastisity  test.During research period  show  as data research was normally distributed.  Based on multicolinierity test, and heteroscedasticity  test variable digressing  of classic assumption has not founded, its indicate that the available data has fulfill the condition to use multi linier regression model. From the result of analyse indicate  that ROA  in partial significant toward  DPR and  DER, DPR and  ROA in partial significant  toward company value
PENGARUH INFORMASI PRODUK, KESAN DAN ATURAN SOSIAL SERTA KESENANGAN TERHADAP OPTIMASI STRATEGI PERIKLANAN MELALUI APRESIASI IKLAN PADA PRODUK SABUN MANDI LUX DAN LIFEBUOY (STUDI PADA IBU RUMAH TANGGA DI KOTA SEMARANG) Utaminingsih, Adiyati; Rahardjo, Daryono; Sulistyorini, Utami Tri
JURNAL BISNIS STRATEGI Vol 9, No 7 (2002): Juli
Publisher : Magister Manajemen, Fakultas Ekonomika dan Bisnis Undip

Show Abstract | Download Original | Original Source | Check in Google Scholar | Full PDF (1394.959 KB) | DOI: 10.14710/jbs.9.7.14-32

Abstract

Advertising is an important social phenomenon. It stimulates consump­ tion, economic activity, models life styles, and a certain value orientation. Consumers are confronted with subtantial daily doses of advertising in multiple media. Everyone seems to  hold an opinion about various aspects of advertising ranging from amusement and admiration to cynicism and condemnation.Most advertisers agree that optimal advertising strategy should consider qualitative factors, such as  audience involvement.  This paper examines the research on qualitiative factors and how to incorporate them into the optimization process. It is believed that such research is impor­ tant because better knowledge about qualitative viewing factors will improve the planning and optimization process.
MEMAHAMI KEPEMIMPINAN TRANSFORMASIONAL DALAM PERSPEKTIF MANAJEMEN PERUBAHAN Hermastho, Bima
JURNAL BISNIS STRATEGI Vol 7, No 5 (2001): Juli
Publisher : Magister Manajemen, Fakultas Ekonomika dan Bisnis Undip

Show Abstract | Download Original | Original Source | Check in Google Scholar | Full PDF (789.78 KB) | DOI: 10.14710/jbs.7.5.89

Abstract

The importance of leadership to change management process is underscored by the fact that change, by definition, requires creating a new system and then institutionalizing the new approaches. While change management depends on leadership to be enacted, to date there has been little integration of these two bodies of literature. Thus the purpose of this articles is to draw parallels between the change literature and the leadership literature : specifically, the transformational leadership literature that is primarely concerned with the capabilities required to enact change succesfully.
LEAD-LAG DAN VOLATILITY SPILL OVER ALIRAN INVESTASI ASING PADA PERDAGANGAN SAHAM DI BURSA EFEK INDONESIA TAHUN 2009 – 2012 Prasetyo, Dwi Hari
JURNAL BISNIS STRATEGI Vol 21, No 1 (2012): Juli
Publisher : Magister Manajemen, Fakultas Ekonomika dan Bisnis Undip

Show Abstract | Download Original | Original Source | Check in Google Scholar | Full PDF (182.155 KB) | DOI: 10.14710/jbs.21.1.46-61

Abstract

Along with the growing of economic development in Indonesia, IDX became one of promising capital market and hence, increase foreign investment  inflow. As larger amount of foreign capital involved in stock market, it might cause the market become more vulnerable to shock. Potential damage may come from short run foreign investment, which is very responsive to any changes in market sentiments. This research conducted by using IDX daily market and foreign transaction data over the periode January 2009-December 2012 and employing Granger Causality test, Vector Autoregression, Impulse Response and Variance Decomposition.   The result shows that there is bidirectional relationship between foreign investment and market  return in IDX. Moreover, by employing EGARCH this research shows the existence of volatility spillover between foreign investment and market return. From the findings, it can be summarized that as foreign investment  flowing in, it will increases the price of equity. However, foreign investment rushing out in large amount  will give bad impact to the market return and make it worse by increasing market volatility.
ANALISIS INDEKS KEPUASAN MASYARAKAT DALAM MELAKUKAN TERA ULANG DI KABUPATEN GROBOGAN Kawuri, Ratna
JURNAL BISNIS STRATEGI Vol 24, No 1 (2015): Juli
Publisher : Magister Manajemen, Fakultas Ekonomika dan Bisnis Undip

Show Abstract | Download Original | Original Source | Check in Google Scholar | Full PDF (791.624 KB) | DOI: 10.14710/jbs.24.1.26-38

Abstract

Penelitian ini adalah tentang "Analisis lndeks Kepuasan Masyarakat Dalam Melakukan Tera Ulang Di Kabupaten Grobogan". Dalam penelitian ini akan diketahui (1) Bagaimanakah harapan dan realitas masyarakat terhadap birokrasi, petugas, kehandalan dan jaminan dalam melakukan tera ulang di Kabupaten Grobogan (2) Bagaimanakah Kriteria Pelayanan Menurut Kep. Menpan Nomor KEP/25/M.PAN/2/2004 dan (3) lndikator manakah yang dianggap penting dan berpengaruh dalam pelayanan kepada masyarakat.Populasi yang dipakai dalam penelitian ini adalah masyarakat yang melakukan tera ulang di Kabupaten Grobogan yang jumlahnya tidak terhingga. Penentuan sampel menggunakan area probability sample. Dalam penelitian ini Kabupaten Grobogan terbagi menjadi 19 Kecamatan, dan tiap kecamatan diambil 3 wajib tera, sehingga jumlah sampel adalah 19 x 2 x 3 = 114. Teknik analisis data menggunakan (1) Perhitungan perbandingan antara realitas dan harapan baik, (2) Perhitungan Nilai lndeks Kepuasan Masyarakat dengan memperhatikan Keputusan Menteri Pendayagunaan Aparatur Negara Nomor KEP/25/M.PAN/2/2004, (3) Metode Importance Performance Analysis (IPA).Hasil penelitian menunjukkan bahwa : (1) Terdapat kesenjangan antara harapan dan realitas masyarakat terhadap pelayanan tera ulang di Kabupaten Grobogan, (2) lndeks kepuasan responden dalam melakukan tera ulang di Kabupaten Grobogan berdasarkan Kep. Menpan Nomor KEP/25/M.PAN/2/2004 menunjukkan kriteria Baik dengan prosentase 71,30%, (3) Berdasarkan teknik Importance Performance Analysis (IPA) maka lndikator yang harus diprioritaskan yaitu : prosedur dalam pelayanan (X1), kemampuan petugas pelayanan (X6), keadilan mendapatkan pelayanan (X8), kewajaran biaya pelayanan (X10) dan kenyamanan lingkungan (X13).
ANALISIS KINERJA BEA CUKAI INDONESIA YANG DIPENGARUHI OLEH BUDAYA ORGANISASI, PARTISIPASI STAKEHOLDER, TEKNOLOGI INFORMASI, DAN TRANSFER OF KNOWLEDGE Dharmawan, Aditya; Raharjo, Susilo Toto; Kusumawardhani, Amie
JURNAL BISNIS STRATEGI Vol 27, No 2 (2018): Desember
Publisher : Magister Manajemen, Fakultas Ekonomika dan Bisnis Undip

Show Abstract | Download Original | Original Source | Check in Google Scholar | Full PDF (1086.185 KB) | DOI: 10.14710/jbs.27.2.110-122

Abstract

Peningkatan kinerja organisasi publik, khususnya Bea dan Cukai (Direktorat Jederal Bea dan Cukai) di Indonesia dipengaruhi oleh beberapa faktor.Penelitian dilakukan dengan menganalisis faktor-faktor yang mempengaruhi kinerja organisasi, yaitu variabel budaya organisasi, variabel partisipasi stakeholder, variabel teknologi informasi dan variabel transfer of knowledge serta menggunakan ukuran organisasi sebagai variabel kontrol.Berangkat dari permasalahan penelitian, yaitu bagaimana meningkatkan kinerja organisasi pada instansi Direktorat Jenderal Bea dan Cukai dengan memperhatikan faktor-faktor yang mempengaruhi kinerja organisasi tersebut.Sampel penelitian berjumlah 107 responden dengan tingkat respon 100%.Responden pada penelitian ini adalah pegawai DJBC yang berasal dari Kantor Pengawasan dan Pelayanan Bea dan Cukai(KPPBC) dan Kantor Pelayanan Utama (KPU) Bea dan Cukai se-Indonesia dan dianggap mewakili unit kerjanya masing-masing.Alat yang digunakan untuk menganalisis adalah Structural Equation Modeling (SEM) pada program software AMOS 24.Hasil pengolahan data menggunakan SEM untuk model teoritis telah memenuhi goodness of fit, dengan nilai Chi Square = 195.916(tanpa variabel control)/213.185(dengan variabel control), CMIN/DF = 1.037(tanpa variabel control)/1.035(dengan variabel control), Probability= 0.350(tanpa variabel control)/0.351(dengan variabel control), GFI = 0.863(tanpa variabel control)/0.860(dengan variabel control), AGFI = 0.817(tanpa variabel control)/0.813(dengan variabel control), TLI = 0.994(tanpa variabel control)/0.993(dengan variabel control), CFI = 0.995(tanpa variabel control)/0.995(dengan variabel control), RMSEA = 0.019(tanpa variabel control)/0.018(dengan variabel control). Dari empat hipotesis yang diuji, semua hipotesis dinyatakan diterima. Transfer of knowledge, teknologi informasi, dan partisipasi stakeholder berpengaruh signifikan terhadap kinerja organisasi pada α=5%, sementara budaya organisasi berpengaruh terhadap kinerja organisasi dengan signifikansi α=10%. Selain itu, ukuran organisasi sebagai variabel kontrol juga berpengaruh signifikan terhadap kinerja organisasi.
ANALISIS PENGARUH KEBIJAKAN HUTANG, PERTUMBUHAN PENJUALAN( GROWTH SALES) DAN DENGAN RETURN ON EQUITY Andriasari, Widi Savitri; Mawardi, Miyasto Wisnu
JURNAL BISNIS STRATEGI Vol 25, No 2 (2016): Desember
Publisher : Magister Manajemen, Fakultas Ekonomika dan Bisnis Undip

Show Abstract | Download Original | Original Source | Check in Google Scholar | Full PDF (533.584 KB) | DOI: 10.14710/jbs.25.2.135-151

Abstract

Stock return is the result of profit or loss obtained from a stock investment.This study aimed to examine the effects of Debt Policy, Sales Growth (GS), and Return on Assets (ROA) to Stock Return used Return on Equity (ROE) as an intervening variable in the study of manufacture companies listed on the Stock Exchange Year 2010-2014.The population in this research is manufacturing companies listed in Indonesia Stock Exchange in accordance Indonesian Capital Market Directory (ICMD). The data used in the study is time series data and cross section (pooling data), and purposive sampling method based on the criteria mentioned above, the number of samples used as many as 32 companies. Analyze techniques using multiple regression, the classic assumption test, and Sobel test.The results of this research partially first model shows that the Debt to Equity Ratio (DER) and Sales Growth (GS) had no significant effect on Return on Equity (ROE), while Return on Assets (ROA) have a significant effect on Return on Equity (ROE) , The second model shows that the Debt to Equity Ratio (DER) and Return on Assets (ROA) no significant effect on Stock Return, whereas Sales Growth (GS) and Return on Equity (ROE) significant effect on stocks return. The results showed that simultaneous Debt to Equity Ratio (DER), Sales Growth (GS), Return on Assets (ROA) and Return on Equity (ROE) significantly affects the Stock Return

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