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INDONESIA
Ekonomi dan Bisnis
ISSN : 23560282     EISSN : 26847582     DOI : http://dx.doi.org/10.35590/jeb
Core Subject : Economy,
Jurnal ini dimaksudkan sebagai media kajian ilmiah hasil penelitian, pemikiran dan kajian analisis-kritis mengenai isu Ekonomi, Manajemen dan Bisnis.
Arjuna Subject : -
Articles 191 Documents
KAJIAN PENGARUH KUASA KEPEMIMPINAN, MODEL MENTAL DAN EFEKTIVITAS TIM KERJA TERHADAP KOMITMEN KEPADA ORGANISASI Iwan Kresna Setiadi
Ekonomi dan Bisnis Vol 2, No 2 (2015): Ekonomi dan Bisnis
Publisher : Fakultas Ekonomi dan Bisnis, Universitas Pembangunan Nasional Veteran Jakarta

Show Abstract | Download Original | Original Source | Check in Google Scholar | Full PDF (403.398 KB) | DOI: 10.35590/jeb.v2i2.712

Abstract

The objectives of this research are to study the effects of supervisors’ effectiveness in using leadership power, supervisor’s mental model and team effectiveness on labours’ commitment to organization. The research was conducted in 2011 involving 250 labours of PT.KGM who were selected as respondents using simple random approach. The result of this research indicated the direct effects of: (1) supervisors’ effectiveness in using leadership power toward labour’s commitment to organization; (2) supervisors’ mental model toward labours’ commitment to organization and (3) team effectiveness toward labours’ commitment to organization. The result of this research also showed the indirect effects of: (1) the supervisor’s effectiveness in using leadership power toward labour’s commitment to organization through the team effectiveness; (2) supervisors’ mental model toward labour commitment to organization through the team effectiveness; This research conducted that labour’s commitment toorganization positively influenced by the supervisors’ effectiveness in using leadership power, supervisor’s mental model and team effectiveness.
IMPLEMENTASI TEORI ATRIBUSI UNTUK MENILAI PERILAKU KECURANGAN AKUNTANSI Ehud Mangaratua Pasaribu; Satria Yudhia Wijaya
Ekonomi dan Bisnis Vol 4, No 1 (2017): Ekonomi dan Bisnis
Publisher : Fakultas Ekonomi dan Bisnis, Universitas Pembangunan Nasional Veteran Jakarta

Show Abstract | Download Original | Original Source | Check in Google Scholar | Full PDF (554.218 KB) | DOI: 10.35590/jeb.v4i1.735

Abstract

This study was conducted to examine the effect of internal control effectiveness, information asymmetry, and organizational commitment to the tendency of accounting fraud. This study uses the employees of the mining company's finance division as a sample. The technique of determining the sample using snowball method sampling method. The sample consisted of 50 respondents. Hypothesis testing in this study used Multiple Linear Regression Analysis with SPSS 21 program and 5% significance level. The results of the test show that (1) the effectiveness of internal control significantly influences the tendency of accounting fraud because it has a significance level of 0.002 smaller than the specified level α = 0.05. (2) information asymmetry has an effect and no significant to the tendency of accounting fraud because it has a significance level of 0.054 greater than the specified level α = 0.05, (3) organizational commitment has no effect and not significant to the tendency of accounting fraud because it has a level of significance Of 0.565 greater than the specified level α = 0.05.
PENGARUH PRICE EARNINGS RATIO DAN KEBIJAKAN DIVIDEN TERHADAP RETURN SAHAM (STUDI KASUS PADA PERUSAHAAN MANUFAKTUR YANG TERDAFTAR DI BEI PERIODE 2013) Novitri Anggraeni; J. P. Sitanggang
Ekonomi dan Bisnis Vol 1, No 2 (2014): Ekonomi dan Bisnis
Publisher : Fakultas Ekonomi dan Bisnis, Universitas Pembangunan Nasional Veteran Jakarta

Show Abstract | Download Original | Original Source | Check in Google Scholar | Full PDF (550.541 KB) | DOI: 10.35590/jeb.v1i2.701

Abstract

This study aimed to examine the effect of the price earnings ratio and dividend policy on stock returns companies listed dibursa Indonesian effects period 2013. The population is companies listed Indonesian Stock Exchange securities. Data obtained from financial statements that have been published in 2013 and chose a sample of 39 companies. The analysis technique used is multiple linear regression and hypothesis testing using the partial-simultan-statistics and statistical confidence level of 21.1%. The results showed that the variable price earnings ratio and dividend policy have a significant effect on stock returns.
PERBANDINGAN YIELD OBLIGASI KORPORASI PADA SEKTOR KEUANGAN Ardhiani Fadila
Ekonomi dan Bisnis Vol 3, No 2 (2016): Ekonomi dan Bisnis
Publisher : Fakultas Ekonomi dan Bisnis, Universitas Pembangunan Nasional Veteran Jakarta

Show Abstract | Download Original | Original Source | Check in Google Scholar | Full PDF (337.155 KB) | DOI: 10.35590/jeb.v3i2.726

Abstract

Bonds as cheap funding alternative for company and investment instrument that gives fixed income for investor make movement and development for Indonesian capital market. A lot of company issues bonds as sources of funding and supported with an excellent rating capable for getting investor’s attractive for investing in bonds, especially in financial sector as the pillar economic growth in the country. Bonds issues that dominated in financial sector give interesting yield for investor. Comparative analysis of yield can be done for knowing the differences in yield for each rating that company has. This study analysis method is Paired Samples T-test using PASW Statistics 18. The result of this study shows that on average there are significant yield differences in bonds that have idA, idAA+, and idAAA rating. This study also shows that bonds with lower rating give higher yield and the yield of bonds in banking sub-sector higher compared with the yield of bonds in multi finance sub-sectors.
Analisa Opini Hasil Audit BPK pada Laporan Keuangan Lembaga Negara terhadap Kualitas Penyelenggaraan Lembaga Negara Menggunakan Content Analysis (Studi Kementerian Negara di Indonesia Tahun 2012-2016) Yananto Mihadi Putra
Ekonomi dan Bisnis Vol 5, No 2 (2018): Ekonomi dan Bisnis
Publisher : Fakultas Ekonomi dan Bisnis, Universitas Pembangunan Nasional Veteran Jakarta

Show Abstract | Download Original | Original Source | Check in Google Scholar | Full PDF (1078.089 KB) | DOI: 10.35590/jeb.v5i2.930

Abstract

The purpose of this study is to know and analyze the accounts that are excluded, there are problems in the accounts is excluded, and the cause of the problems contained in the accounts are exempt from the examination report on the financial statements of ministries/agencies with the exception of obtaining reasonable opinion. This research uses a qualitative research methodology approach based positivistic philosophy. The data analysis in this research using content analysis with the type of conceptual analysis or collectively, the descriptive content analysis. The results showed that problems in the accounts that are excluded and the associated restrictions on the scope of noncompliance with Generally Accepted Accounting Principles (GAAP). The cause of the problems contained in the accounts that are excluded is due to the weakness of internal controll and non-compliance with laws and regulations. Internal controll weaknesses include a lack of commitment to competence, leadership is not conducive, the lack of delegation of authority and responsibility for the proper, good working relationships with relevant government agencies have not been optimal, the weakness of the organizational structure, purpose of activity is not supported enough resources, internal control weaknesses the application of the SAI, physical control over assets and records have not been optimal, there is no verification process to the evidence of payment, expenditure, and accountability, which have incomplete information, and recommendations not yet acted upon the findings of the previous year.
Analisa Investasi Investor pada PT Indofood Sukses Makmur Tbk pada Era Industri 4.0 Monita Rahayu; Anita Munir
Ekonomi dan Bisnis Vol 5, No 2 (2018): Ekonomi dan Bisnis
Publisher : Fakultas Ekonomi dan Bisnis, Universitas Pembangunan Nasional Veteran Jakarta

Show Abstract | Download Original | Original Source | Check in Google Scholar | Full PDF (274.172 KB) | DOI: 10.35590/jeb.v5i2.744

Abstract

Tujuan dari penelitian ini adalah untuk menganalisa fundamental analisis dan prediksi perusahaan terhadap pengambilan keputusan untuk berinvestasi pada PT Indofood Sukses Makmur Tbk. dalam era industi 4.0. Penelitian studi kasus ini dilakukan dengan teknik pengumpulan data yang diperoleh dari laporan keuangan PT Indofood Sukses Makmur dari IDX.com Kemudian dianalisa dengan menggunakan fundamental analisis rasio, bankruptcy analysis, discounted cash flow, dan analisa sensitivitas. Analisa yang dipergunakan adalah Rasio Likuiditas, Leverage, Market Value dengan menganalisa Price to Earning dan EV/EBITDA ratio. Dalam memprediksi potensi kebangkrutan di masa mendatang, peneliti menggunakan Altman z score yang hasilnya dinyatakan bahwa perusahaan berada di zona aman. Selain itu, discounted cash flow (DCF) yang telah dianalisa menunjukan perusahaan termasuk dalam kategori cukup baik. Peneliti menggunakan DCF pada Net Present Value pada penilaian analisa sensitivitas pesimis yang hasilnya juga menunjukan perusahaan layak untuk dipilih dalam keputusan beinvestasi di era industry 4.0. Selain itu diperkuat dengan hasil dari Net Present Value optimis jauh lebih besar dari Net Present Value pesimis.
PENGARUH RETURN ON EQUITY, LEVERAGE DAN SALES GROWTH TERHADAP KEBIJAKAN DIVIDEN PADA PERUSAHAAN GO PUBLIC DI BURSA EFEK INDONESIA TAHUN 2013 Tyas Prastika; Dahlia Br. Pinem
Ekonomi dan Bisnis Vol 2, No 2 (2015): Ekonomi dan Bisnis
Publisher : Fakultas Ekonomi dan Bisnis, Universitas Pembangunan Nasional Veteran Jakarta

Show Abstract | Download Original | Original Source | Check in Google Scholar | Full PDF (412.565 KB) | DOI: 10.35590/jeb.v2i2.717

Abstract

This study is performed to examine the influence of variable Return On Equity, Debt to Equity Ratio and Sales Growth on Dividend Policy in go public companies in the Indonesian stock exchange (IDX) at 2013. The population in this study is listed companies in Indonesian Stock Exchange at 2013. Obtained a total sample of 44 companies. The analysis technique used here is multiple linear regression and hypothesis test using F and t statistic with level of significance 5%. The results showed that the Return On Equity, Debt to Equity Ratio and Sales Growth simultaneously influence on Dividend Policy. The coefficient of determination (R2) in this research was 0.149 that means 14.9% dividend policy can be explained by the variable Return On Equity, Debt to Equity Ratio and Sales Growth, while the remaining 85.1% explained by other variables that are not used in this study. Partially, only Sales Growth variable has negative influence on Dividend Policy.
TINGKAT KECUKUPAN MODAL, DANA PIHAK KETIGA DAN RISIKO BISNIS TERHADAP PROFITABILITAS BANK YANG TERDAFTAR DI BURSA EFEK INDONESIA Diah Ayu Larasati; Marlina Marlina; Siti Hidayati
Ekonomi dan Bisnis Vol 4, No 2 (2017): Ekonomi dan Bisnis
Publisher : Fakultas Ekonomi dan Bisnis, Universitas Pembangunan Nasional Veteran Jakarta

Show Abstract | Download Original | Original Source | Check in Google Scholar | Full PDF (492.111 KB) | DOI: 10.35590/jeb.v4i2.740

Abstract

This study is a quantitative research that aims to determine the effect of capital adequacy rate, third party funds and business risk on profitability in banking companies listed on the Indonesia Stock Exchange period 2013-2016. The population in this study is a banking company listed on the Indonesia Stock Exchange period 2013-2016. Sample selection is done by using purposive sampling method. The sample used in this study are 14 national private commercial banks listed on Indonesia Stock Exchange period 2013-2016. The type of data used is secondary data and the method of analysis used is panel data regression using EViews 9.0 program. The result of regression panel data analysis using significance level of 0.05 indicates that the level of capital adequacy and business risk affect the profitability of the bank. While third party funds have no effect on bank profitability.
PENGARUH KUALITAS PELAYANAN DAN CITRA TERHADAP LOYALITAS PELANGGAN MELALUI KEPUASAN PELANGGAN NASABAH BANK BRI CABANG CAWANG Leo Frits Dharmadi; Bernadin Dwi M.
Ekonomi dan Bisnis Vol 2, No 1 (2015): Ekonomi dan Bisnis
Publisher : Fakultas Ekonomi dan Bisnis, Universitas Pembangunan Nasional Veteran Jakarta

Show Abstract | Download Original | Original Source | Check in Google Scholar | Full PDF (399.245 KB) | DOI: 10.35590/jeb.v2i1.706

Abstract

Bank BRI in 1946 first established as a government-owned bank first and then in 1992 legal entities BRI transformed into Limited Liability Company. In 2003 ownership pemerintas sale so this status as a public company, later changed its name to PT. Bank Rakyat Indonesia (Persero) Tbk. This study was conducted to test the analysis Influence of Service Quality And Customer Loyalty Through Imagery Customer Satisfaction Customer Bank BRI. The population in this study of 100 respondents who use the services of Bank BRI Branch Cawang. Data obtained from questionnaires distributed at Bank BRI branch Cawang. The sample used in this study were 100 respondents who use the services of data BRI. Sampling technique using purposive sampling method. Analysis technique used is the analysis of lane or path analysis. These results indicate that significant influence service quality directly to customer satisfaction, significant bepengaruh image directly to customer satisfaction, quality of service and the image of the significant influence indirectly through customer satisfaction to customer loyalty and customer satisfaction directly significant effect on customer loyalty.
Analisa Deskriptif Industri Fintech di Indonesia: Regulasi dan Keamanan Jaringan dalam Perspektif Teknologi Digital Sandryones Palinggi; Lutma Ranta Allolinggi
Ekonomi dan Bisnis Vol 6, No 2 (2019): Ekonomi dan Bisnis
Publisher : Fakultas Ekonomi dan Bisnis, Universitas Pembangunan Nasional Veteran Jakarta

Show Abstract | Download Original | Original Source | Check in Google Scholar | DOI: 10.35590/jeb.v6i2.1327

Abstract

Era modern saat ini, peran teknologi dalam segala aspek kehidupan sangat terasa. Dengan mengandalkan teknologi yang ada sangat memungkinkan menciptakan sebuah industri baru. Hal ini kemudian mampu turut serta dalam menggerakkan roda perekonomian baik dalam skala besar, menengah maupun kecil. Industri Fintech (Financial Technology) adalah sebuah produk baru dari kemajuan teknologi digital yang kombinasikan dengan industri keuangan. Fintech telah menjadi sebuah terobosan dalam sektor perekonomian yang implementasinya telah menjadi trend di masyarakat mulai dari jual beli saham, pembayaran, sistem pinjaman uang (lending), transfer dana, investasi retail, perencanaan keuangan (personal finance), dan lain sebagainya. Tujuan dari penelitian ini untuk menganalisa perkembangan dari fintech dalam kaitannya dengan regulasi dan keamanan serta jaringan dalam perspektif teknologi ICT di era digital. Metode yang digunakan yaitu deskriptif kualitatif dengan pendekatan studi literatur untuk melacak data catatan peristiwa, yang selanjutnya digunakan oleh penulis untuk mengumpulkan data termasuk sumber dari penelitian sebelumnya. Hasil dan kesimpulan dari penelitian ini yaitu regulasi dan keamanan jaringan terkait data pribadi perseorangan seharusnya menjadi fokus utama pemerintah dalam menentukan arah dan kebijakan yang mampu memberikan rasa kepercayaan dan kenyamanan kepada para nasabah, konsumen, maupun para pelaku industri keuangan di Indonesia.

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