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INDONESIA
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.
Arjuna Subject : -
Articles 143 Documents
DESENTRALISASI FISKAL DAN PENCIPTAAN STABILITAS KEUANGAN DAERAH Haryanto, Joko Tri; Astuti, Ester Sri
Jurnal Kajian Ekonomi dan Keuangan Vol 13, No 1 (2009)
Publisher : Badan kebijakan Fiskal

Show Abstract | Download Original | Original Source | Check in Google Scholar | DOI: 10.31685/kek.v13i1.88

Abstract

Indonesia has been implemented decentralization era since 2001 in order to increasing local empowerment and local capability. During this period central government gave a all of the authority to the local government excepted authority for the political, finance,national defence, justice and religion. Beside gave the authority to the local government, central government also gave the source of the financing to the local government to meet the money follows function principle. Financial stability is the most important things on the monetary area. Many theorytical background described that decentralization have relation with the local financial stability.Using statistic approach (panel data) we could be proved that decentralization have negative relation with the local financial stability and also the other variable such as population, GRDP, constriction price index and volatility of money
Strategi Pemerintah Indonesia Dalam Menarik Kunjungan Turis Mancanegara Sujai, Mahpud
Jurnal Kajian Ekonomi dan Keuangan Vol 20, No 1 (2016)
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Show Abstract | Download Original | Original Source | Check in Google Scholar | DOI: 10.31685/kek.v20i1.181

Abstract

Pariwisata merupakan salah satu sektor yang penting bagi perekonomian Indonesia. Sumbangan langsung sektor pariwisata terhadap PDB mencapai lebih dari 3,8% pada 2012 atau mencapai hingga 9% dari PDB jika mempertimbangkan multiplier effect dari PDB. Walaupun pertumbuhan sektor pariwisata Indonesia tinggi, jika dibandingkan dengan negaranegara kompetitor lainnya di kawasan ASEAN maka Indonesia masih jauh tertinggal. Mengingat potensi sektor pariwisata Indonesia di masa depan, maka diperlukan berbagai strategi untuk menarik lebih banyak wisatawan mancanegara dan mengembangkan pariwisata Indonesia. Penelitian ini menganalisis berbagai strategi yang dilakukan oleh pemerintah dalam menarik lebih banyak wisatawan mancanegara ke Indonesia. Metodologi yang digunakan adalah analisis deskriptif dan analisis SWOT untuk menyiapkan strategi yang tepat bagi pengembangan sektor pariwisata di Indonesia. Penelitian ini merekomendasikan berbagai strategi yang harus diambil dan diperbaiki Pemerintah untuk meningkatkan kunjungan wisatawan mancanegara ke Indonesia.
Study for Mainstreaming Environmental and Climate Change Policy On The Development Planning Agenda in Indonesia Haryanto, Joko Tri; Nurkholis, Akhmad
Jurnal Kajian Ekonomi dan Keuangan Vol 18, No 3 (2014)
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Show Abstract | Download Original | Original Source | Check in Google Scholar | DOI: 10.31685/kek.v18i3.18

Abstract

Over the past few years, environmental issues have became a major policy agenda in developed and developing countries. The government has some alternative policies that can be used as a form of the intervention either to play the role of market-based policies and government regulations as well as other options. In this context, the Government of Indonesia already issued Presidential Decree No. 61 Year 2011 on National Action Plan for Reducing Greenhouse Gas Emissions (RAN-GRK). Based on this document, financial source for climate change (PI) and also protection, preservation of the environment (PPLH) mainly comes from the state budget, local budget, private sector, and other sources legalized by regulations. Unfortunately, the capacity for this obligation is still constrained. For this reason, public funding must be able to cooperate with the private fundingr in order to leverage the capacity. Regarding this matter, the flexibility for the allocation of state budget/local budget is not easy, due several reasons. One of that reason is the lack of policy meanstreaming PPLH the PI on the budgeting systems, the nature of the management PI and PPLH and also lack of awareness from many stakeholders. By using descriptive analysis method, this paper tries to answer these issues from the variety of scenarios, especially in the sphere of government planning and budgeting policy.
Measuring Systemic Risk on the Indonesia’s Banking System Mansur, Alfan
Jurnal Kajian Ekonomi dan Keuangan Vol 2, No 2 (2018)
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Show Abstract | Download Original | Original Source | Check in Google Scholar | DOI: 10.31685/kek.v2i2.325

Abstract

Inter-connectedness is one important aspect in measuring the degree of systemic risk arising in the banking system. In this paper, this aspect besides the degree of commonality and volatility are measured using Principal Component Analysis (PCA), dynamic Granger causality tests and a Markov regime switching model. These measures can be used as leading indicators to detect pressures in the financial system, in particular the banking system. There is evidence that the inter-connectedness level together with degree of commonality and volatility among banks escalate substantially during the financial distress. It implies that less systemically important banks could become more important in the financial system during the abnormal times. Therefore, the list of systemically important banks as regulated in the Law on Prevention and Mitigation of Financial System Crisis (UU PPKSK) should be updated more frequently during the period of financial distress.
KEMISKINAN, KETIMPANGAN DAN PERTUMBUHAN EKONOMI DI INDONESIA (TINJAUAN ANALISIS REGIONAL) Wibowo, Tri
Jurnal Kajian Ekonomi dan Keuangan Vol 16, No 2 (2012)
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Show Abstract | Download Original | Original Source | Check in Google Scholar | DOI: 10.31685/kek.v16i2.41

Abstract

Strategy development pro-growth, pro-job, pro-poor and are listed in the RPJM 2004-2009, have shown encouraging results. During this period of economic growth increased, the unemployment rate declined, so did the level of poverty, but not so with income inequality figures. Menurunannya poverty level has not kept pace with the inequality. Both rural and urban areas, the poverty rate showed a declining trend, but inequality has increased. National development priorities need to pay attention to regions/ provinces that have high levels of poverty and high inequality and low per capita income and slow growth. This area is not a priority when development will potentially social disparities and the potential conflict that would ultimately hamper growth. Indonesia as an agricultural country, the average growth of the agricultural sector has always been below GDP growth, and the growth of a more unstable. Contribution of agriculture to GDP is also declining. The poor are mostly in the agricultural sector, and labor also largely absorbed in agriculture, should receive priority. Agricultural growth will be able to reduce the level of poverty, employment and reducing inequalities, particularly in rural Indonesia.
ANALISIS POTENSI PENDAPATAN DARI MEKANISME REDD SEKTOR KEHUTANAN DI INDONESIA Siswanto, Adrianus Dwi
Jurnal Kajian Ekonomi dan Keuangan Vol 14, No 1 (2010)
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Show Abstract | Download Original | Original Source | Check in Google Scholar | DOI: 10.31685/kek.v14i1.79

Abstract

Indonesia faces serious problems in the forestry sector. The forest area covers about 70 percent of the total area spread over 33 provinces, have been damaged more than 37 percent on many levels. Department of Forestry reported deforestation reached 1 million hectares per year since 2000. If the condition is not change then the year 2050 the entire forest will be gone.This study focus to calculate the value of potential income that can be accepted if the REDD mechanism is applied in Indonesia. The methodology used in this study are mathematics and descriptive statistics using secondary data. Source of data are obtained the Central Bureau of Statistics and Ministry of Forestry and other sources. The results showed that according the baseline, the growth trends in deforestation by using 2000 - 2005, Indonesian forest destruction reached 35.277 million hectares on 2017 with 15 percent growth assumption damage.By implementing 3 simulations assuming that the decreased the rate of deforestation by 15 percent, 50 percent and 75 percent, the study provides results that the potential revenue are vary from of U.S. $ 20.155 million to U.S. $ 532.530 million. Estimated potential revenue is determined by the ability to decrease the growth rate of deforestation. The higher the ability to decrease the rate of deforestation, the higher the potential for carbon stock is maintained. On the other side encouraging the increasing deforestation of forest produce higher emissions more carbon stock disappear.
Distribusi Risiko Kemitraan Pemerintah dan Swasta Dalam Pembangunan Infrastruktur Nasution, Chairuddin Syah
Jurnal Kajian Ekonomi dan Keuangan Vol 17, No 2 (2013)
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Show Abstract | Download Original | Original Source | Check in Google Scholar | DOI: 10.31685/kek.v17i2.154

Abstract

Di dalam skema kerjasama pembangunan infrastruktur antara pemerintah dengan pihak swasta, pemahaman tentang distribusi risiko terutama di dalam pendistribusian risiko diantara para pihak yang bekerjasama menjadi suatu hal yang krusial. Dala pendistribusian risiko tersebut sangat diperlukan state of the art dalam mengidentifikasi risiko sehingga risiko yang mungkin timbul dapat dikelola dengn sebaik - baiknya. Dalam prinsip - prinsip manajemen risiko, ditegaskan bahwa sebaiknya pengelolaan risiko dilakukan oleh pihak yang paling memiliki kompetensi di dallm pengelolaan risiko. Ada kalanya risiko pembangunan infrastruktur merupakan bagian dari tangungjawab pemerintah, dan ada pula risiko yang menjadi tanggunjawab swasta dan bahkan ada risiko yang menjadi risiko bersama utama bagi risiko yang bersifat tumpang tindih sehingga diperlukan keahlian dalam pendistribusiannya. Oleh sebab itu, pemahaman tentang manajemen risiko sangat diperlukan bagi keberhasilan pembangunan infrastruktur dengan pola kerjasama antara pemerintah dan swasta.
PEMODELAN TERBAIK DAN PERAMALAN TINGKAT SUKU BUNGA SPN 3 BULAN Mubarak, Fadhlul; Wulandya, Siti Arni; Seran, Karlina; Soleh, Agus Mohamad; Andriansyah, .
Jurnal Kajian Ekonomi dan Keuangan Vol 1, No 3 (2017)
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Show Abstract | Download Original | Original Source | Check in Google Scholar | DOI: 10.31685/kek.v1i3.202

Abstract

Salah satu asumsi dasar ekonomi makro yang masih mengalami kendala dalam pengembangan perangkat analisis model ekonomi yang akurat adalah suku bunga Surat Perbendaharaan Negara (SPN) 3 bulan. Hal ini terutama disebabkan periode data yang tidak teratur karena didasarkan kepada rata-rata yield yang dimenangkan dalam lelang yang dilaksanakan pada periode-periode tertentu. Penelitian ini bertujuan untuk memperoleh model proyeksi tingkat suku bunga SPN 3 bulan dengan memperbandingkan beberapa metode deret waktu yaitu pemulusan spline, pemulusan exponential dan pemulusan moving average, serta pemodelan regresi dengan menggunakan spread dengan yield Surat Utang Negara (SUN) 1 tahun. Hasil dari penelitian ini memperlihatkan bahwa metode yang mendekati kondisi riil adalah metode pemulusan spline dan regresi dengan SUN 1 tahun, dimana pemulusan spline lebih baik untuk proyeksi jangka pendek dan regresi dengan SUN 1 tahun lebih baik untuk proyeksi jangka menengah.
KAJIAN KEBIJAKAN PPN ATAS BAHAN BAKAR MINYAK UNTUK KAPAL TUJUAN INTERNASIONAL (STUDY ON VALUE ADDED TAX POLICY ON INTERNASIONAL BUNKER FUEL) Widia, I Nyoman
Jurnal Kajian Ekonomi dan Keuangan Vol 14, No 4 (2010)
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Show Abstract | Download Original | Original Source | Check in Google Scholar | DOI: 10.31685/kek.v14i4.69

Abstract

This study focus on value added tax policy on international bunker fuel. Current regulation in Indonesia describes that government has imposed value added tax 10% on bunker fuel. Qualitative Approach was used in this study. As a result, imposing value added tax on bunker fuel against the international best practice. According to Value Added Tax Law, Government of Indonesia may give an incentive on bunker fuel.
Sinergisme Komponen Pengembangan Ekonomi Lokal Untuk Peningkatan Kesejahteraan Sosial di Kawasan Perdesaan Telang dan Batu Betumpang dan Nunung Nuwati, Sri Naiyati, Robert Arthur Simanjuntak,
Jurnal Kajian Ekonomi dan Keuangan Vol 19, No 3 (2015)
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Show Abstract | Download Original | Original Source | Check in Google Scholar | DOI: 10.31685/kek.v19i3.143

Abstract

Peningkatan kesejahteraan sosial dengan pendekatan developmentalis yang dilaksanakan melalui Pengembangan Ekonomi Lokal (PEL) berbasis kawasan, diyakini mampu sebagai salah satu strategi pembangunan untuk mengurangi terjadinya distorted development di kawasan perdesaan karena dilaksanakan secara sinergis antara Pemerintah, “pasar”, dan masyarakat; serta ditujukan untuk peningkatan kesejahteraan sosial bagi semua. Penelitian ini bertujuan untuk menganalisis sinergisme komponen PEL dan menganalisis faktor pendorong dan kendala sinergisme komponen PEL untuk peningkatan kesejahteraan sosial di Kawasan Telang (Provinsi Sumatera Selatan) dan Batu Betumpang (Provinsi Bangka). Metode penelitian menggunakan pendekatan deduktif-kualitatif dengan jenis penelitian eksplanatori. Metode analisis yang digunakan yaitu analisis empat dimensi sinergisme, theory driven thematic analysis, dan Problem Tree Analysis (PTA). Hasil penelitian menunjukkan bahwa kolaborasi komponen PEL di Kawasan Telang termasuk dalam kategori terfragmentasi, sedangkan kolaborasi di Batu Betumpang termasuk dalam kategori kurang sinergis. Faktor pendorong dan kendala utama sinergisme PEL untuk mewujudkan kesejahteraan sosial dan mencegah terjadinya disembedded economy di kedua kawasan adalah kapabilitas kolaborasi, kepemimpinan, regulasi, perencanaan kolaboratif, sistem kolaborasi, konsensus tujuan bersama, dan legitimasi. Faktor-faktor tersebut memicu munculnya faktor-faktor lainnya seperti readiness, komitmen, partisipasi masyarakat, konflik kepentingan, motivasi, dan komunikasi. Oleh sebab itu,ketujuh faktor pemicu harus diperhatikan untuk peningkatan sinergisme PEL guna meningkatkan kesejahteraan sosial serta mencegah terjadinya disembedded economy.

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