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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
ANALISIS DAMPAK RISIKO PROYEK TERHADAP KINERJA PROYEK (Studi pada Industri Konstruksi di Jawa Tengah Periode Tahun 2001-2010) Prabawani, Riana Widya
JURNAL BISNIS STRATEGI Vol 21, No 2 (2012): Desember
Publisher : Magister Manajemen, Fakultas Ekonomika dan Bisnis Undip

Show Abstract | Download Original | Original Source | Check in Google Scholar | Full PDF (314.318 KB) | DOI: 10.14710/jbs.21.2.72-94

Abstract

This study aims to examine and analyze the influence of project risk on the project performance in Industrial Construction Services in Central Java. This study used operational risk variable, financial risk variable, hazard risk variable, and strategic risk variable to analyze their influence on the performance of the project. Phenomenon which is found in the implementation of building projects in Central Java is the frequency of deviation between  initial planning in terms of time, cost and quality of the results achieved often occurs.Population used in this study was all the companies operating in the field of building construction services in Central Java which listed at Lembaga Pengembangan Jasa Konstruksi and joined  in ASKUMINDO (Asosiasi Kontraktor Umum Indonesia), ASPEKNAS (Asosiasi Pelaksana Konstruksi Nasional), APAKSINDO (Asosiasi Pengusaha Kontraktor Seluruh Indonesia), GAPEKNAS (Gabungan Pengusaha Kontraktor Nasional Indonesia),  GABPEKNAS (Gabungan Perusahaan Kontraktor Nasional) dan GAPEKSINDO (Gabungan Perusahaan Kontruksi Nasional Indonesia). Sampling technique used in this study was purposive sampling method. Therefore, the sample in this study was determined based on construction services company listed on LPJK (Lembaga Pengembangan Jasa Konstruksi) and domiciled in Semarang, construction service companies that were still in operation during this study period in 2001-2010 and construction services companies that has a minimum of 5 years experience involved in the implementation of construction projects in Central Java during the period of2001-2010. The result of this study showed that operational risk influenced significantly negative towards the performance of the project. On the other hand, financial risk and hazard risk influenced significantly positive towards the performance of the project. While, the risk strategy influenced insignificantly positive towards the performance of the project.
PENINGKATAN KINERJA PERUSAHAAN MELALUI STRATEGI KEMITRAAN Pamungkas, Octavianus
JURNAL BISNIS STRATEGI Vol 15, No 2 (2006): Desember
Publisher : Magister Manajemen, Fakultas Ekonomika dan Bisnis Undip

Show Abstract | Download Original | Original Source | Check in Google Scholar | DOI: 10.14710/jbs.15.2.47-51

Abstract

Strategi kemitraan meningkatkan kinerja berupa peningkatan  reward secara ekonomis yang dapat diukur melalui peningkatan penjualan atau produksi yang dapat dijual kepada mitra pembina. Dalam tulisan ini, peningkatan kinerja perusahaan melalui strategi kemitraan didekati dengan pendekatan (1) Resource Based Interdependence, merupakan ketergantungan sumber daya dalam ekonomi pertukaran untuk mendapatkan sumberdaya penting diluar kemampuan, (2) Relationship Quality, yang menggambarkan seluruh kedalaman dan suasana hubungan kerjasama, (3) Flexibility, yang dibutuhkan agar antar partner bisa memperluas dan mendekatkan lingkungan kerjasama untuk memenuhi kebutuhan pasar atau untuk memecahkan masalah yang akan terjadi, (4) Information Sharing, berupa penyebaran informasi berkaitan dengan tepatnya komunikasi antar partner.
ANALISIS PENGARUH PERUBAHAN RASIO-RASIO KEUANGAN BANK TERHADAP PERUBAHAN LABA (Perbandingan Pada Bank Asing dan Bank Domestik Periode Tahun 2004-2007) Hardono, Destri Hudo
JURNAL BISNIS STRATEGI Vol 19, No 2 (2010): Desember
Publisher : Magister Manajemen, Fakultas Ekonomika dan Bisnis Undip

Show Abstract | Download Original | Original Source | Check in Google Scholar | Full PDF (205.725 KB) | DOI: 10.14710/jbs.19.2.188-203

Abstract

Penelitian ini dilakukan untuk menguji pengaruh variabel Δ Capital Adequacy Ratio (Δ CAR), Δ Loan to Deposit Ratio (Δ LDR), Δ Biaya Operasi Pendapatan (Δ BOPO), Δ Giro Wajib Minimum (Δ GWM), dan, terhadap Perubahan Laba ( Laba). Teknik sampling yang digunakan adalah purposive sampling dengan kriteria bank umum di Indonesia yang menyajikan laporan keuangan periode 2004 sampai dengan 2007 dan bank umum yang memperoleh laba periode 2004-2007. Data diperoleh berdasarkan publikasi Direktori Perbankan Indonesia periode tahun 2004 sampai dengan tahun 2007. Diperoleh jumlah sampel sebanyak 118 perusahaan dari 133 bank umum di Indonesia periode 2004-2007. Teknik analisis yang digunakan adalah regresi berganda dengan persamaan kuadrat terkecil dan uji hipotesis menggunakan t-statistik untuk menguji koefisien regresi parsial serta f-statistik untuk menguji keberartian pengaruh secara bersama-sama dengan level of significance 5%. Selain itu juga dilakukan uji asumsi klasik yang meliputi uji normalitas, uji multikolinieritas, uji heteroskedastisitas dan uji autokorelasi. Selama periode pengamatan menunjukkan bahwa data penelitian berdistribusi normal. Berdasarkan uji multikolinieritas, uji heteroskedastisitas dan uji autokorelasi tidak ditemukan variabel yang menyimpang dari asumsi klasik, hal ini menunjukkan bahwa data yang tersedia telah memenuhi syarat untuk menggunakan model persamaan regresi linier berganda. Dari hasil analisis menunjukkan bahwa data Δ CAR, dan Δ BOPO secara parsial signifikan terhadap perubahan Laba pada bank asing. Untuk kategori bank domestik hanya Δ BOPO yang signifikan berpengaruh terhadap perubahan Laba pada bank domestik. 
ANALISIS FAKTOR FAKTOR YANG MEMPENGARUHI MINAT KUNJUNGAN ULANG WISATAWAN SEMARANG nuraeni, bellinda sofia
JURNAL BISNIS STRATEGI Vol 23, No 1 (2014): Juli
Publisher : Magister Manajemen, Fakultas Ekonomika dan Bisnis Undip

Show Abstract | Download Original | Original Source | Check in Google Scholar | Full PDF (143.239 KB) | DOI: 10.14710/jbs.23.1.1-20

Abstract

AbstrakVisit Jawa Tengah 2013  merupakan sebuah gerakan untuk meningkatkan  kepedulian terhadap potensi luar biasa yang dimiliki  oleh Jawa Tengah. Museum  Ranggarwasita Jawa Tengah merupakan salah satu destinasi  wisata utama yang disiapkan untuk Visit Jateng 2013.  Hal ini karena Museum  Ranggawarsita merupakan museum  terbesar di Jawa Tengah  yang memiliki  koleksi cukup lengkap. Permasalahan dalam penelitian ini adalah menurunnya jumlah  kunjungan wisatawan ke Museum  Ranggawarsita Semarang. Tujuan penelitian ini adalah untuk mengetahui faktor-faktor  yang mempengaruhi  minat kunjung ulang wisatawan Museum  Ranggawarsita Semarang.Dalam penelitian ini dikembangkan sebuah permodelan dengan tujuh hipotesis  yang telah dirumuskan. Sampel dalam penelitian ini berjumlah 110 responden yang merupakan pengunjung  Museum  Ranggawarsita Semarang. Metode  yang digunakan dalam penelitian ini adalah menggunakan  metode  PLS-SEM.Hasil penelitian  menunjukkan bahwa variabel yang berpengaruh  signifikan  terhadap variabel minat  kunjung ulang adalah variabel promosi,  variabel kualitas pelayanan dan variabel daya tarik wisata.  Kemudian, variabel yang berpengaruh  signifikan  terhadap variabel citra wisata adalah variabel promosi  dan variabel kualitas pelayanan. dan variabel yang berpengaruh terhadap  daya tarik wisata adalah variabel kualitas  pelayanan.
ANALISIS ECONOMIC EXPOSURE DAN DETERMINANNYA PADA PERUSAHAAN YANG LISTING DI BURSA ELEK JAKARTA (AGUSTUS 1997 - JUNI 2003) Hastuti, Fitri; Hady, Hamdy
JURNAL BISNIS STRATEGI Vol 13, No 1 (2004): Juli
Publisher : Magister Manajemen, Fakultas Ekonomika dan Bisnis Undip

Show Abstract | Download Original | Original Source | Check in Google Scholar | Full PDF (2130.827 KB) | DOI: 10.14710/jbs.13.1.15-38

Abstract

The aim of this research is to examine the elasticity and the sign of economic exposure of listed companies in period sample and subperiod sample, and also to analyze the potential factors that determine the elasticity of economic exposure. To achieve those goals, we use two linear regression equations with Ordinary Least Square (OLS) method. The first regression called first stage regression use time series data from August 1997 until June 2003. The second one called second stage regression use cross section data of sample 35 companies. The first stage regression result shows the elasticity and the sign of economic exposure of 35 companies during sample period of August 1997 until June 2003 and also in 3 sub-period samples. The second stage regression shows that economic exposure elasticity is significantly influenced by firm size, the company's operational area, the percentage of asset in foreign currency relative to total asset, and the percentage of debt in foreign currency relative to total debt. While traded sector and source of financing don't influence economic exposure elasticity significantly.
ANALISIS POSITIONING DAN SEGMENTASI SURAT KABAR : Suatu Studi tentang Pemetaan persepsi konsumen di kotamadya Malang Ratnawati, Afifah
JURNAL BISNIS STRATEGI Vol 8, No 6 (2001): Desember
Publisher : Magister Manajemen, Fakultas Ekonomika dan Bisnis Undip

Show Abstract | Download Original | Original Source | Check in Google Scholar | Full PDF (1332.99 KB) | DOI: 10.14710/jbs.8.6.31-48

Abstract

This study analyzed consumer perception of daily newspapers in Malang Municipality. This research was conducted based on the fact that in the reformation era, there are a lot of newspapers being published in Indonesia, indicating that the competition in this business field is tight.The objective of this research was to find out the perceived relative image of the nespapers in Malang Municipality, in order to establish the position of each newspaper relative to other competitors from the consumer point of view. The research aimed at identifying the most preferred nespaper based on the attributes used in perceiving nespapers.The research was conducted from November 1998 through January 1999. Purposive sampling and non proporsional random sampling were employed to determine the samples. Purposive sampling was employed to determine target population and the choose the consumer groups of the newspaper studied. Non proportional random sampling was employed to take respondents from every group of newspapers. Their were 105 respondents these were subscribers of Jawa Pos, Surya, Kompas, Republika, Malang Pos, Surabaya Pos and Memorandum.Data analysis used the descriptive model and the graphic as well. From the descriptive approach, it was found that in comparing newspapers, most respondent used the following attributes: 1) national news, 2) objectivity of the news, 3) political news, 4) sosiocultural news, 5) economics and business news, 6) international news, 7) regional news, 8) articles and analysis, 9) sports news, 10) physical appearance, and 11) newspaper distribution.The grafic approach used multi-dementional scaling analysis, cluster analysis, and vector analysis. Graphics approach showed that the position of the newspapers in Malang Municipality on the perceptual map is as follows. Jawa Pos is perceived to be simillar with Surya, while Kompas is also perceived to be simillar with Republika. Memorandum is perceived to be different from Jawa Pos, Kompas, Surya, Surabay Pos, Malang Pos, Kompas, Republika, and Bisnis Indonesia.The grouping of newspapers based on consumer perception of the simillarity of newspapers, shows that there are three segments of newspapers, namely: segments I comprising of Jawa Pos, Surya, surabaya Pos, and Malang Pos, segment II comprising of Kompas, Republika and Bisnis Indonesia and segment III comprising of Memorandum.Another result of the research shows that, if viewed from the vector representation, Jawa Pos, Surya, and Surabaya Pos arliked most by consumers especially on the attributes of regional news, distribution as well as national and sports news. Kompas and Republika are preferred by consumers because of their atrributes of physical performance, article and analysis, economic and business news, national news, political news objectivity, international news, socio cultural news as well as sports. Bisnis Indonesia is preferred because of economic and business news, while Malang Pos and Memorandum are preferred because of regional news presented.
ANALISIS STRUKTUR MODAL PADA PERUSAHAAN-PERUSAHAAN NON FINANSIAL YANG GO PUBLIC DI PASAR MODAL INDONESIA Mutamimah, Mutamimah
JURNAL BISNIS STRATEGI Vol 11, No 8 (2003): Juli
Publisher : Magister Manajemen, Fakultas Ekonomika dan Bisnis Undip

Show Abstract | Download Original | Original Source | Check in Google Scholar | Full PDF (960.023 KB) | DOI: 10.14710/jbs.11.8.71-82

Abstract

The suitable capital structure is very important for firms to increase their performance. Capital structure theory until now still debatable. The main objective of this study is to investigate empirically the determinants of capital structure with Trade-off Theory, Pecking Order Theory, and Agency Theory Approach.Sample in this study are 50 non-financial firms that active and liquid at Indonesian Capital Market over 2 (two) years, from 1999 to 2000. Thus, I have 100 observations. Non financial firms are choose to prevent bias result,because commonly financial firms have unique financial ratio, for example high leverage ratio. To test the hypotheses in this study, I used Multiple Regression Models. ·The result of this study as follows: a). Simultaneously and partially all proxy of Trade-off Theory isn't significant statistically. Thus, Trade-off Theory can't explain the capital structure at Indonesian Capital Market b). Simultaneously proxy of Pecking Order Theory can explain capital structure at Indonesian Capital Market. c). Simultaneously proxy of Agency Theory can explain capital structure at Indonesian Capital Market. d). Firms that go public at Indonesian Capital Market tend to follow Pecking Order Theory and Agency Theory than Trade-off Theory in their financing decision. Part of result in this study is consistent with study of Sartono (2001), Taggart (1977), Marsh (1982), and Wiwattanakantang (1999).
ANALISIS PENGARUH SPLLY CHAIN VOLUME RANGE, COST ADAPTABILITY DAN TIME ADAPTABILITY TERHADAP SUPPLY CHAIN AGILITY PEMASOK (Studi Empirik pada PT Indonesia Power) Muljono, Muljono
JURNAL BISNIS STRATEGI Vol 23, No 1 (2014): Juli
Publisher : Magister Manajemen, Fakultas Ekonomika dan Bisnis Undip

Show Abstract | Download Original | Original Source | Check in Google Scholar | Full PDF (1276.746 KB) | DOI: 10.14710/jbs.23.1.111-137

Abstract

AbstrakPenelitian ini menganalisis pengaruh Supply Chain Volume Range, Cost Adaptability, dan Time Adaptability terhadap Supply Chain Agality Pemasok. Rumusan masalah adalah adanya deviasi antara rencana yang tertuang dalam surat perjanjian dengan realisasi pasokan. Secara umum kesimpulan dari hasil pengujian model yang diterapkan pada PT. Indonesia Power, dimana hasil penelitian menunjukkan bahwa Supply Chain Volume Range, Supply Chain Cost Adaptability, dan Supply Chain Time Adaptability berpengaruh positif terhadap Supply Chain Agility yang dihasilkan.  
Dampak Pelepasan Batas Kepemilikan Asing terhadap Terintegrasinya Bursa Efek Jakarta dengan Bursa Efek Internasional (Studi Literatur) Muharam, Harjum
JURNAL BISNIS STRATEGI Vol 4, No 1 (1999): Juli
Publisher : Magister Manajemen, Fakultas Ekonomika dan Bisnis Undip

Show Abstract | Download Original | Original Source | Check in Google Scholar | Full PDF (432.829 KB) | DOI: 10.14710/jbs.4.1.1-7

Abstract

Tulisan ini merupakon hasil kajian terhadap penelitian-penelitian yang dilakukan oleh berbagai pihak tentang integrasi dan segmentasi pasar modal internasional. Dari penelitian-penelitian  tersebut ditemukan  bahwa  dari waktu ke  waktu pasar  modal internasional semakin terintegrasi.  Terintegrasinya suatu pasar modal domistik dengan pasar modal internasional sangat dipengaruhi oleh kebijakan pemerintah dalam mengaturr investasi lokal dan asing di pasar modal tersebut. Berdasarkan hasil penelitian-penelitian pada pasar modal yang telah terintegrasi secara internasional tersebut dan adanya kebijakan pemerintah melepaskan batas kepemilikan asing di pasar modal Indonesia (BEJ),  maka penulis mengambil hipotesis bahwa pasar modal Indonesia telah terintegrasi dengan pasar modal internasional. 
MASALAH DAN KEBIJAKAN PEMBANGUNAN PERTANIAN DENGAN PENDEKATAN KELEMBAGAAN DI INDONESIA SBM, Nugroho
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 (809.198 KB) | DOI: 10.14710/jbs.17.1.119-128

Abstract

Agriculture Sector has still important roles in Indonesian economy now. These important roles are seen in its share in GDP formation and employment absorption. In agriculture development, Indonesian government is using institutional approach. Institutional approach is being used because conventional approach i.e. Neo­ Classlcal Approach is failed.Nevertheless, the institutional approach In agriculture development In Indonesia is facing some problems like: sub­contract system which is not working, moral hazard in agriculture institution like KUO, limited access faced by farmers in input and credit availibility, and good old intitutions destroyed by new institution introduced by the government.So, the right institutional approach need to solve all problem In Indonesian Agriculture development used institutional approach mentioned above.

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