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Abdul Bashir
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INDONESIA
Jurnal Ekonomi Pembangunan
Published by Universitas Sriwijaya
ISSN : 18295843     EISSN : 26850788     DOI : 10.29259/jep
Core Subject : Economy,
Jurnal Ekonomi Pembangunan is a peer-reviewed journal that provides a forum for scientific works pertaining to Development Economics. Published twice in a year (June and December). This Journal has p-ISSN 1829-5843, and e-ISSN 2685-0788. This journal was first published since June 2003 by the Department of Development Economics, Faculty of Economics, Universitas Sriwijaya. Editors receive manuscripts of unpublished paper contributions in other journals. JEP is expected to be used as a reference for academicians in writing a scientific, relevant, and dynamic article to enhance the new generation that is found in writing an academic paper.
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Articles 234 Documents
ANALISIS NILAI TAMBAH DAN PRODUKSI INDUSTRI KERUPUK KEMPLANG DI KOTA PALEMBANG Linda Linda; Taufiq Marwa; Suhel Suhel
Jurnal Ekonomi Pembangunan Vol 2, No 1 (2004): Jurnal Ekonomi Pembangunan
Publisher : Department of Development Economics, Universitas Sriwijaya

Show Abstract | Download Original | Original Source | Check in Google Scholar | DOI: 10.29259/jep.v2i1.4829

Abstract

The tittle of this research is Value Added and Production Analysis of Kerupuk Kemplang Industry in Palembang. This research is aimed to know the value added thas has been resulted by the industry of kerupuk kemplang and how it is factor increased the produsction of kerupuk kemplang in Palembang. There are seme factors that influence the production of kerupuk kemplang, such as material, additional goods and labor. This research has been done in Seberang Ulu Palembang, which has taken twenty samples, which are considered to represent the kerupuk kemplang industries in Palembang. The sampling method, which has been taken, is purposive sampling. The sampling method that will not give the same possibility for all elements in populations to be chosen is perfectly stressed that is sample is taken by the criteria that is needed in this thesis. The value added from industries is output mim1s intermediate cost. This research is use production junction model from Cobb­ Douglas. The corelation of each variable could be seen of the regression below: Y = 0,9509338 + 0,838BB- 0,380BP + 0,492TK Based 0f the analysis of descriptive quantitative we get the value added of kerupuk kemplang industries in Palembang each year is Rp. 544.180.000 with the average of value added is Rp. 27.709.000. Basic commodity and labor have positive correlation to output with coefficient of elasticity 0,838 and 0,492 in 95% level of significant. Additional commodity has negative correlation to output with coefficient of elasticity -0,380. Additional commodity doesn't have strong corelation in 95% level of significant but in 84% level of significant it has. The industries of kerupuk kemplang in Palembang followed decreasing return to scale, where the total amount of a + P + y(0,838-   0,380 + 0,492) less than 1. From this thesis we could estimate that the producer  of kerupuk kemplang should note the quality, taste of kerupuk kemplang that has been produced as well. Beside that, the constant of movemment 'scrole in capitalize is needed as well. For the home industry of kerupuk kemplang: at also the workship. Between the producer of kerupuk kemplang and the producer of atenal .m order to support the productio11 it well without any difficulties in supplying the mam matenalKeywords: Value Added. Elasticity, Production
Kesejahteraan, pengeluaran pemerintah sektor kesehatan dan harapan hidup di Provinsi Aceh: Sebuah pendekatan data panel Nanda Rahmi; Afdhal Putera
Jurnal Ekonomi Pembangunan Vol 17, No 1 (2019): Jurnal Ekonomi Pembangunan
Publisher : Department of Development Economics, Universitas Sriwijaya

Show Abstract | Download Original | Original Source | Check in Google Scholar | DOI: 10.29259/jep.v17i1.8946

Abstract

This study to investigate the effect of health spending and Gross Regional Domestic Product (GRDP) on life expectancy in Aceh. The data are collected for 23 districts in Aceh over 4 years from 2012-2016. The analysis method uses a quantitative approach with applying a linear regression model with data panel. The findings of this study indicated that health spending and GRDP have a positive and significant effect on life expectancy. Furthermore, GRDP has a positive and significant relationship with life expectancy.
PENGARUH PENGELUARAN PEMERINTAH PROVINSI DI INDONESIA UNTUK FUNGSI EKONOMI, KESEHATAN, PENDIDIKAN SERTA PERUMAHAN DAN FASILITAS UMUM TERHADAP PENDUDUK MISKIN TAHUN 2011-2013 Azwardi Azwardi
Jurnal Ekonomi Pembangunan Vol 12, No 1 (2014): Jurnal Ekonomi Pembangunan
Publisher : Department of Development Economics, Universitas Sriwijaya

Show Abstract | Download Original | Original Source | Check in Google Scholar | DOI: 10.29259/jep.v12i1.4862

Abstract

This research was aimed to know the influence of economics expenditure, health expenditure, education expenditure and housing and public facilities expenditure on poverty in Indonesian’s provinces.  The methode of analysis that used in this research is pooling regression. This research used panel data which collected from Statistics Indonesia Finance Ministry from 2011 until 2013 include 33 provinces in Indonesia. The research result showed that the variables that had positive influence are economics expenditure and health expenditure. Meanwhile, the variables that had negative influences are education expenditure and housing and public facilities expenditure. Keywords: Province’s Expenditure, economy, health, education, housing and public facilities, poverty.
The Relationship between Current COVID-19 and Indonesia Stock Market: Evidence from ARDL Model Violita Septy Wardani; Lahuddin Lahuddin
Jurnal Ekonomi Pembangunan Vol 19, No 1 (2021): Jurnal Ekonomi Pembangunan
Publisher : Department of Development Economics, Universitas Sriwijaya

Show Abstract | Download Original | Original Source | Check in Google Scholar | DOI: 10.29259/jep.v19i1.13837

Abstract

This study aims to prove how COVID-19 in response to the Indonesia stock market applying an Auto-Regressive Distributed Lag (ARDL) cointegration method. This study analyzes the relationship between the natural logarithm of daily trading volume of the Indonesia Stock Exchange and the natural logarithm of daily COVID-19 confirmed cases both in the short run and the long run. Bound test and cointegration were used to analyze the data daily from 2 March 2020 until 30 November 2020. The findings result show in the short-run, Indonesia stock market is only influenced by its lag, but not in the long-run. Meanwhile COVID-19 variable proved to be not significantly affected the stock market both in short and long-run. The model is predicted to re-stabilize at least over 1.7 months later
ANALISIS FAKTOR-FAKTOR PRODUKSI PADA INDUSTRI SEMEN DI INDONESIA Ilma Prahmalia Tira
Jurnal Ekonomi Pembangunan Vol 10, No 1 (2012): Jurnal Ekonomi Pembangunan
Publisher : Department of Development Economics, Universitas Sriwijaya

Show Abstract | Download Original | Original Source | Check in Google Scholar | DOI: 10.29259/jep.v10i1.4899

Abstract

This research was aimed at identifying the influence of production factors on cement industry output in Indonesia in the period of 1985-2009. The factors identified included energy, fixed capital, labor and raw and auxiliary materials. This research used the secondary data published in reports of Central Bureau for Statistics dealing with 36310 ISIC code in the period of 1985-1997, and 26411 ISIC code in the period of 1998-2009. The research results show that all variables had a positive influence on the cement output in the period of 1985-2009, except one variable called the fixed capital. The energy, fixed capital, labor, raw and auxiliary materials simultaneously had a significant influence on the output. The R2 obtained was 0,883. It means that all variables play a role in influencing the output as much as 88,3% and the rest of 11,7% could be explained by other factors. The elasticity of energy (0,368 < 1), fixed capital (0,019 < 1), raw and auxiliary materials (0,597 < 1) fell in the rational stage meaning the addition of each variables was not proportionate to the output, ceteris paribus. The elasticity of labor was 1,215 > 1 meaning the labor could be encouraged to produce the output more, ceteris paribus. Return to the scale of the cement industry in the period of 1985-2009 was 2,199. This means that there was an increase of one percent for each production factor together will increase production by 2,199 percent. The efficiency of the cement industry in the period of 1985-2000 was less than one meaning that the industry did not make use of its input efficiently. In the period 2001-2009, the efficiency of the industry was more than one meaning that the industry made use of the input efficiently. Keywords: production, elasticity, return to scale, efficiency, cement industry
DAMPAK PERILAKU EKSPLOITASI TERHADAP EFISIENSI DAN TINGKAT KEHIDUPAN PETANI PLASMA PIR-SUS KELAPA SAWIT Imam Asngari
Jurnal Ekonomi Pembangunan Vol 4, No 2 (2006): Jurnal Ekonomi Pembangunan
Publisher : Department of Development Economics, Universitas Sriwijaya

Show Abstract | Download Original | Original Source | Check in Google Scholar | DOI: 10.29259/jep.v4i2.4820

Abstract

The purpose of this study are to analyze conduct on exploitation by Nucleus Estate as a monopsonist, self-exploitation mechanism by farmers and does to impact on efficiency and farmer’s quality of live. Research sampling is taken by using stratified random sampling method on NES [Nucleus Estate and Smallholders] at Muara Enim Municipality in South Sumatera Province. Sample of farmers selected by using stratified production random sampling. The quantitative and qualitative descriptive analyze is also applied in this study through measuring value added,   efficiency, production surplus, exploitation,  and farmer’s quality of live. The result of this research sow that exploitation by NES conduct is characterized  by mark-up input prices, reduce to TBS output prices, and to bring down conduct on farmer’s institution. The NES system has made farmers to fall under exploitation mechanism by NES, banks, farmer’s institution and self-exploitation system. In this way exploitation has to be institution in the contract farming in the NES system. The exploitation system has impact on decrease welfare and farmer’s efficient, loss production surplus, low productivity and affected on leveling up in the poverty. Keywords: NES System,  production surplus, exploitation mechanism, self-exploitation, farmer’s efficient and poverty.
Dampak transaksi non tunai terhadap perputaran uang di Indonesia Zakhariantara Gintting; Syaipan Djambak; Mukhlis Mukhlis
Jurnal Ekonomi Pembangunan Vol 16, No 2 (2018): Jurnal Ekonomi Pembangunan
Publisher : Department of Development Economics, Universitas Sriwijaya

Show Abstract | Download Original | Original Source | Check in Google Scholar | DOI: 10.29259/jep.v16i2.8877

Abstract

The objective of this study was to analyze the impact of the use of electronic money (e-money) to the velocity of money in Indonesia. The use of this payment instrument makes consumers easy to pay, thereby increasing the level of consumption. Data used is the nominal of transaction in 2013 to 2017 from Bank Indonesia database. The method in this study used regression model with OLS (Ordinary Least Square) estimate. The finding in this study showed e-money transactions consisting of the nominal e-money transactions, nominal ATM-Debit card transactions and nominal credit card transactions partially no significant effect on the velocity of money in Indonesia
ANALISIS DETERMINAN STRUKTUR, PERILAKU DAN KINERJA INDUSTRI PERBANKAN SYARIAH DI INDONESIA Imam Asngari
Jurnal Ekonomi Pembangunan Vol 13, No 2 (2015): Jurnal Ekonomi Pembangunan
Publisher : Department of Development Economics, Universitas Sriwijaya

Show Abstract | Download Original | Original Source | Check in Google Scholar | DOI: 10.29259/jep.v13i2.4853

Abstract

This study discusses the market structure, conduct, performance (SPK) Islamic banking industry as well as the enforceability SPK Islamic banking industry. Variables include the study of concentration, market share, advertising intensity, the level of financing, financing problems, capital intensity, and the performance of the Islamic banking industry include profitability and operational efficiency, as well as variable dummy macro economic conditions. Source data from the financial statements of Islamic banking, and financial statements of four foreign Islamic banks, namely Bank Syariah Mandiri, Bank Muamalat Indonesia, Bank Mega Sraiah, and BNI Syariah. The technique of multiple regression analysis using panel data. The results showed that the market structure of the Islamic banking industry is an oligopoly 2005-2014 period. But in the meantime, there has been a change in the structure of the full oligopoly (2005-2008), a tight oligopoly (2009-2012) and became a monopolistic competition (2013-2014) due to the emergence of new Islamic banks in 2010 up to 2015 amounted to Islamic banks 12. Determinants of real influence on the market share structure is variable and intensity behavioral advertising. Advertising will increase the intensity and the concentration of market share. Perikalanan intensity intensive Islamic banks classified about 25 percent. That is about a quarter of the income allocated to the cost of promotion and advertising. Advertising intensity can improve the structure and market share. Advertising determinants that influence the behavior of Islamic banks is capital intensity, market share, concentration and interaction of market share, expansion financing and capital intensity. SCP variable relationships in the study of Islamic banking industry in Indonesia were tested empirically is the hypothesis of efficiency. Profit performance of the banking industry was not caused by the structure of sharia concentrated or collusion of the oligopoly but because of its efficiency. Keywords: concentration, market share, promotion intensity, profitability.
The determinant of educational mismatch and its correlation to wages Ferry Maurist Sitorus; Padang Wicaksono
Jurnal Ekonomi Pembangunan Vol 18, No 2 (2020): Jurnal Ekonomi Pembangunan
Publisher : Department of Development Economics, Universitas Sriwijaya

Show Abstract | Download Original | Original Source | Check in Google Scholar | DOI: 10.29259/jep.v18i2.12788

Abstract

The mismatch between educational and occupational qualifications is an issue that still frequently occurs in the Indonesian job market. This study aims to sudy the probability of educational mismatch in workers and how it was related to the wages received. The data used in this study was gained from the National Labor Force Survey (Sakernas) August 2019. The unit of analysis used are workers that have status as labor/employee/employees who are 15 years old and above. Contingency coefficient analysis was used to investigate the correlation between mismatch and workers’ wages, and multinomial logistic regression analysis was used to investigate the determinants of educational mismatch. The results showed that educational mismatch in the Indonesian labor market was still quite high, in which from a total sample of 178.085 workers / laborers, 25,79% were overeduaction and 17,98% were undereducation. The results of the contingency coefficient showed that there was a correlation between educational mismatch status and workers' wages. Then based on the result of the multinomial logistic regression test, it was found that workers with overeducation status had a greater chance of those who had a longer length of schooling, who were male and urban, while workers with undereducation status had a greater chance of those with shorter school years, who were female and live in rural areas.
SUATU PARADOKS DALAM PEMBANGUNAN EKONOMI TERHADAP PENGANGGGURAN DAN KEMISKINAN Rosmiyati Chodijah
Jurnal Ekonomi Pembangunan Vol 8, No 2 (2010): Jurnal Ekonomi Pembangunan
Publisher : Department of Development Economics, Universitas Sriwijaya

Show Abstract | Download Original | Original Source | Check in Google Scholar | DOI: 10.29259/jep.v8i2.4887

Abstract

Indonesia's development shows optimism, in the economic field is indicated by the macro indicators, but donot automatically solve basic human problems that is the problem of poverty and unemployment. Governments need to run the policy for the real sector with availability   of investment requirements in support of Bill worthy investment to appreciate, and be able to develop a level playing field. The real sector has the challenge of complex micro scale (called UMKMK). Technology and Knowledge based Economy-TKBE is an economic system design to achieve prosperity by improving growth and competitiveness. The role of microfinance institutions and government partisanship on small business is expected to be the key to Indonesia's economic revival. Alternative development approach has become mainstream economic thought, through the paradigm of equity will create a strong foundation for sustainable economic growth. In the end, the fundamental problem is how to develop the economy based on cultural pluralism and diverse resources of the nation, an adjustment strategy to find the identity of the nation, amid a leap of technological progress that close the gap and time and the boundaries between countries are artificial things. Keywords: Poverty, UnempolymentMonetary expansion, Aggregate Demand

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