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KEK (Kajian Ekonomi dan Keuangan)
Published by Kementerian Keuangan
ISSN : 14103249     EISSN : 25409999     DOI : -
Core Subject : Economy,
Kajian Ekonomi dan Keuangan (KEK henceforth)was first published in 1996 as an initiative of researchers of Ministry of Finance. In the earlier years of its publication, KEK was also known as Kajian Ilmiah Ekonomi dan Keuangan (KIEK). Since then KEK has been published regularly as one of the prominent sources of reference for public policy evaluation as well as a recommendation, in particular on Indonesian state budgets and finance topics.
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Articles 5 Documents
Search results for , issue " Vol 13, No 2 (2009)" : 5 Documents clear
ANALISIS INVESTASI CHINA KE INDONESIA SEBELUM DAN SESUDAH ACFTA Ragimun, Ragimun
Jurnal Kajian Ekonomi dan Keuangan Vol 13, No 2 (2009)
Publisher : Badan kebijakan Fiskal

Show Abstract | Download Original | Original Source | Check in Google Scholar | DOI: 10.31685/kek.v13i2.77

Abstract

Economic growth of China's stunning last decade to provide a map of this new world economic power. While in some parts of the world is experiencing stagnant growth, but this country is experiencing economic growth is high enough. This means to give new hope for many regions and countries that have economic relations with this country, not the exception of Indonesia. But this is also a concern our country and other countries, such as Asean. Therefore, the ASEAN China Free Trade Area (ACFTA), which is one of the regional agreement, have an important role in bridging the interests of Asean with China's economy, including Indonesia.For Indonesia, ACFTA has a positive effect because the Chinese clearly requires the supply of raw materials and auxiliary materials for industry, as well as market share and a quite promising partner. However, on the other hand, our country is ready to fight the flood of products from that country. There is no other way that can be adopted to avoid the economy unless they increase the can be obtained that the competitiveness products still need to be improved, especially competitiveness of our products.By using the SWOT analysis approach, the results through product manufacturing efficiency, while products such as pre-eminent natural resources still can be improved with the increase in value added. From the results of the analysis is also known that after ACFTA the investment of China is still relatively small.
Pengaruh Variabel Ekonomi Makro Terhadap Return Saham Properti Pada Bursa Efek Indonesia Nurhidayat, R
Jurnal Kajian Ekonomi dan Keuangan Vol 13, No 2 (2009)
Publisher : Badan kebijakan Fiskal

Show Abstract | Download Original | Original Source | Check in Google Scholar | DOI: 10.31685/kek.v13i2.73

Abstract

The purpose of this paper is to provide an analysis of the long-run equilibrium relationships between the four macroeconomic variables and property stock index return of Jakarta Stock Exchange. In addition, a dummy variable is included to capture the impact of crisis. The macroeconomic variables analyzed are interest rate, inflation rate, exchange rate, and market return of Jakarta Stock Exchange using monthly observations from January 2003 through December 2008. Ordinary leased square is used to test these relationships. Signal approach is also employed to identify crisis happened during last five years in Indonesia. Econometric result finds long- run equilibrium and significant relationship between Property stock index return and the macroeconomic variables. Finally, there are two crisis periods during last five years in Indonesia. The crises have negative effect on the stock return
Analysis of The Possibility of Price Level Targeting in Indonesia to Achieve Price Stability an Alternative to Inflation Targeting Eka Budiyanti, Telisa Aulia Falianty
Jurnal Kajian Ekonomi dan Keuangan Vol 13, No 2 (2009)
Publisher : Badan kebijakan Fiskal

Show Abstract | Download Original | Original Source | Check in Google Scholar | DOI: 10.31685/kek.v13i2.159

Abstract

Price Stability is one of the important macroeconomic policy goals. In recent years, price stability has become an important issue for society, especially since oil and global food price increase continually. This phenomenon motivates this study to know, wheter Inflation Targeting (IT) or Price Level Targeting that more appropriate to apply in Indonesia's monetary framework.IT is ignoring the deviation from past target. The average inflation rate will be convergent to the long term target. Other alternative that has been studied scientifically is Price Level Targeting (PLT). PLT is a policy that has the effect of systematically responding to deviations of the price level from the price level target to preclude long term price level drift.This study will discuss possibility to apply PLT over IT in Indonesia from welfare gain side. The result from theoretical modeling, generally indicate that PLT isbetter to apply than IT. But empirical result using Dittmar, Gavin, and Kydland model (1999) shows that IT is gap hypothesis in indonesia during period of study (1983-2008). The result with secondary data also show that IT has been quite successfully applied consistently. It can be seen by stationary inflation during period of study.
Analisis Efektivitas Banun Operasional Sekolah (BOS) Pada Departemen Pendidikan Nasional Aziz, Abdul
Jurnal Kajian Ekonomi dan Keuangan Vol 13, No 2 (2009)
Publisher : Badan kebijakan Fiskal

Show Abstract | Download Original | Original Source | Check in Google Scholar | DOI: 10.31685/kek.v13i2.160

Abstract

Salah satu amanah dari Undang - Undang Keuangan Negara adalah penerapan sistem penganggaran berbasis yang kinerja berorientasi pada hasil (output based) dari program pemerintah dengan cara meningkatkan efisiensi sumber aya yang terbatas dan efektif dalam pencapaian output dan outcomenya.Pemerintah perlu melakukan kegiatan monitoring dan evaluasi dalam mencapai target tersebut (efisien dan efektif) agar terjadi perbaikan kualitas pelaksanaan program dan kegiatan di masa yang akan datang.Salah satu metodologi penelitian untuk mengetahui tingkat efektivitas suatu program/kegiatan dengan cara melakukan uji sampel t berpasangan (paired sample t test) terhadap setiap outcome yang diharapkan dari program BOS ini.Dari uji statistik dengan tool SPSS ini akan dihasilkan kesimpulan ilmiah setiap variable outcomenya yaitu apakah dengan adanya program BOS variable outcome yang diuji (yang terdiri dari variable APK, APM, Siswa mendaftar, Putus sekolah, Lulus sekolah dan Lanjut sekolah di tingkat SD dan SMP) mengalami perbedaan yang signifikan (terjadi perbaikan) dengan sebelum pelaksanaan BOS? Atau dengan kata lain, apakah BOS efektif memperbaiki variable - variable outcome tersebut.Pada akhirnya, uji statistik ini bisa menjadi model / bahan masukan / pedoman bagi kementerian Negara / lembaga dan Kementerian Departemen Keuangan dalam melakukan uji efektivitas program / kegiatan di lingkungannya masing - masing.
ANALISIS IMPLEMENTASI CHECKAND BALANCE SYSTEM DALAM PENGELOLAAN KEUANGAN NEGARA Rumbia, Moh Firdaus; Junanto, Deny
Jurnal Kajian Ekonomi dan Keuangan Vol 13, No 2 (2009)
Publisher : Badan kebijakan Fiskal

Show Abstract | Download Original | Original Source | Check in Google Scholar | DOI: 10.31685/kek.v13i2.75

Abstract

Check and balance system is exceptionally relevant in public finance management. It can assure that every institutions—legislative, executive, and auditive—whose involve in public finance management perform appropriately based on its role and function. This paper analyzes and compares the implementation of check and balances system in public finance management in Australia, Philippines and including Indonesia. The findings are employed to develop the system in Indonesia. Once it has been implemented, none of the institutions will abuse their power. Consequently the public budget will be more accountable and transparent for the benefit of the people.

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