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INDONESIA
Jurnal Ekonomi Bisnis Indonesia
ISSN : 01261991     EISSN : 26564114     DOI : -
Core Subject : Economy, Science,
JEBI (Journal Economics Business Indonesian). The International Journal published by Indonesian Business School. This journal focused on Economics, Business and Management studies. The Journal is published twice a year. The aim of the journal is to disseminate the Economics, Business and Management researches done by researchers both from Indonesian and overseas.
Arjuna Subject : -
Articles 231 Documents
Kepentingan Turki dalam Melakukan Impor Sampah Plastik dari Eropa Periode 2019 – 2021 Agus Nilmada Azmi; Amirah Syahirah
JEBI | Jurnal Ekonomi Bisnis Indonesia Vol. 18 No. 1 (2023): Jurnal Ekonomi Bisnis Indonesia
Publisher : Sekolah Tinggi Ilmu Ekonomi Bisnis Indonesia

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This study analyzes Turkey's interest in importing plastic waste from European countries in the period 2019–2021. The import of plastic waste has become an alternative waste management method that is considered more efficient, can reduce the load on local landfills, and meets certain standards in environmental management. The study used a descriptive-qualitative approach. The study concludes that global plastic waste management faces serious challenges due to the lack of adequate plastic waste management infrastructure. Its causes developed countries such as Europe to export their plastic waste to developing countries, including Turkey. The main factors influencing Turkey's plastic waste import policy are of economic and strategic importance. Turkey imports plastic waste as a raw material that can reduce production costs and gain economic benefits in a circular economy model. However, Turkey's plastic waste import policy also has a negative impact on the environment and health. Turkey needs to pay attention to the environmental and health impacts of plastic waste import activities and develop more sustainable plastic waste management strategies at the national level.
PENGARUH KUALITAS PRODUK, HARGA, DAN PROMOSI TERHADAP KEPUTUSAN PEMBELIAN ( STUDI KASUS KONSUMEN TOKO TEKSTIL DAMAR PASAR TANAH ABANG ) Tri Puji Rahayu; Alaidin Rapani; Riduan Siagian; Sofyan
JEBI | Jurnal Ekonomi Bisnis Indonesia Vol. 18 No. 1 (2023): Jurnal Ekonomi Bisnis Indonesia
Publisher : Sekolah Tinggi Ilmu Ekonomi Bisnis Indonesia

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The purpose of this study is to determine the effect of product quality, price, and promotion on purchasing decisions in consumers of DAMAR textile stores. This study used a sample of 80 DAMAR store consumers who had made at least 2 purchases at DAMAR textile stores. The method used in this study is descriptive quantitative quantitatively. The data analysis technique used is Multiple Linear Regression Analysis using IBM SPSS Statistical 25 Software. The results of this study show that there is an influence between the variables of product quality, price, promotion of DAMAR textile stores simultaneously and significantly positive on textile purchasing decisions, this can be proven by the calculated value of 56,080 > 2.72 Ftabel and a sig value of 0.000 < 0.05 (α = 5%). Based on the results of the product quality variable t test and promotion with a significant positive impact on the textile purchase decision at the DAMAR store, this can be proven by the variable value of the calculated product quality of 4,030 > 1,991 ttabel with a significant value of 0.000 < 0.05 and the promotion variable of 4.965 > 1.991 ttabel 0.000 < 0.05. While the price variable has no significant effect on textile purchasing decisions, this can be proven by a calculated value of 0.769 < 1.991 ttabel 0.444 > 0.05 The result of the correlation of R of 0.830 means that there is a strong relationship between product quality, price, promotion to textile purchasing decisions in DAMAR stores, and for the Adjusted R Square determination correlation value of 0.677 or 67.7% means that the Independent variable together affects the bound variable by 67.7% and the remaining 32.3% is influenced by other variables that are not included in this study.
ANALISIS RASIO PROFITABILITAS DAN RASIO LIKUIDITAS DALAM MENILAI KINERJA KEUANGAN PADA PT ELECTRONIC CITY, Tbk Yulia Wida Kristiani Gea; Rudy; Kadek Ayu Susiani Dewi; Nuraida
JEBI | Jurnal Ekonomi Bisnis Indonesia Vol. 18 No. 1 (2023): Jurnal Ekonomi Bisnis Indonesia
Publisher : Sekolah Tinggi Ilmu Ekonomi Bisnis Indonesia

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The purpose of this study is to find out the performance finance Footwear companies listed on the Indonesia stock exchange for the periods 2012-2016 through analysis of cash flow statements. Method uses in this study is quantitative descriptive method. The data analysis technique uses is analysis of cash flow statements. As for the analysis of the cash flows statements uses is the ratio operating cash flows to current liability, the ratio of operating cash flow to interest, the ratio of operating cash flows to capital expenditures, the ratio of operating cash flows to total debt, the ratio of operating cash flows to net income. Based on the results of the study it can be concluded that the effectiveness of the financial performance of Footwear Companies listed on the Indonesia stock exchange during the period of 5 years (2012-2016) is not good, seen from the results of the calculation of the cash flow ratio operating cash flows to current liability and the ratio of operating cash flows to total debt under 1, describes that PT Primarindo Asia Infrastruktur, Tbk. and PT Sepatu Bata, Tbk.is unable to meet its obligation and its commitments, and some ratio during thin research (2012-2016) also shows a negative value.
PENGARUH BIAS TERHADAP PENGAMBILAN KEPUTUSAN INVESTASI DENGAN INVESTASI ETIS SEBAGAI VARIABEL INTERVENNING DI GALERI INVESTASI UNIVERSITAS PANCASILA Fauzan Anggara; Tri Widyastuti; Zulkifli Zulkifli
JEBI | Jurnal Ekonomi Bisnis Indonesia Vol. 18 No. 1 (2023): Jurnal Ekonomi Bisnis Indonesia
Publisher : Sekolah Tinggi Ilmu Ekonomi Bisnis Indonesia

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Abstrak: Penelitian ini bertujuan mengetahui pengaruh literasi keuangan, gaya hidup dan uang elektronik terhadap perilaku konsumtif (studi kasus smk jakarta 1) baik secara parsial maupun simultan. Penelitian ini menggunakan pendekatan kuantitatif. Sampel dalam penelitian ini adalah 100 Siswa/Siswi di Sekolah SMK Jakarta 1 dengan menggunakan metode non probability sampling serta simple random sampling. Instrument penelitian ini menggunakan kuesioner dan dianalisis menggunakan analisis regresi berganda. Hasil penelitian ini menunjukkan bahwa (1) literasi keuangan berpengaruh positif dan signifikan terhadap perilaku konsumtif (2) gaya hidup berpengaruh positif dan signifikan terhadap perilaku konsumtif (3) uang Pelaku pasar modal memiliki pengaruh dalam penggerakan dana investor dan perusahaan. Pelaku pasar modal biasa dapat didorong psikologi kognitifnya yang seringkali berperilaku berlebihan dalam menyikapi suatu berita. Investor dapat bereaksi secara berlebihan saat memperoleh berita yang tidak terduga, yang dapat mempengaruhi harga kenaikan atau penurunan melebihi nilai actual. Peneliti memiliki tujuan untuk mendapatkan analisis mengenai bias yang ada berpengaruh terhadap pengambilan keputusan investasi. Penelitian ini menggunakan pendekatan kuantitatif yang bersifat deskriptif. Variabel ini merupakan variabel yang terletak di antara variabel independent dan dependen, sehingga variabel inndependent tidak langsung mempengaruhi berubahnya atau timbulnya variabel dependen. Penelitian ini menggunakan kuesioner sebagai alat pengumpulan data, Penelitian ini menggunakan metode PLS (Partial Least Square). Penelitian ini hanya self- attribution bias yang tidak berpengaruh terhadap pengambilan keputusan investasi. Investor senior dalam galeri investasi universitas Pancasila harus membantu investor milenial agar terhindar dari pengaruh investasi negative mengenai saham. Dalam penelitian ini self-attribution bias tidak berpengaruh terhadap pengambilan keputusan investasi. Peneliti berasumsi bahwa investor milenial ini tidak hanya merasa bahwa keberhasilan dalam berinvestasi bukan hanya dari kemampuan teknikal dan fundamental, tetapi dari informasi-informasi yang valid yang dapat mereka dapatkan.
PENGARUH FINANCIAL KNOWLEDGE, FINANCIAL SOCIALIZATION DAN FINANCIAL SELF-EFFICACY TEHADAP FINANCIAL MANAGEMENT BEHAVIOR MELALUI LOCUS OF CONTROL SEBAGAI VARIABEL INTERVENING DI UNIVERSITAS PANCASILA Adella Silviana; Tri Widyastuti; Syamsul Bahri
JEBI | Jurnal Ekonomi Bisnis Indonesia Vol. 18 No. 1 (2023): Jurnal Ekonomi Bisnis Indonesia
Publisher : Sekolah Tinggi Ilmu Ekonomi Bisnis Indonesia

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Abstract

Penelitian ini bertujuan untuk menginvestigasi pengaruh pengetahuan keuangan (financial knowledge), sosialisasi keuangan (financial socialization), dan efikasi diri keuangan (financial self-efficacy) terhadap perilaku pengelolaan keuangan (financial management behavior) mahasiswa melalui locus of control sebagai variabel intervening. Studi ini dilakukan pada mahasiswa reguler khusus di Universitas Pancasila. Metode penelitian ini menggunakan pendekatan kuantitatif dengan pengumpulan data melalui kuesioner yang disebar kepada sampel mahasiswa reguler khusus di Universitas Pancasila. Hasil analisis data menunjukkan bahwa pengetahuan keuangan (financial knowledge) memiliki pengaruh positif signifikan terhadap sosialisasi keuangan (financial socialization), efikasi diri keuangan (financial self-efficacy), dan perilaku pengelolaan keuangan (financial management behavior) mahasiswa. Selain itu, sosialisasi keuangan (financial socialization) juga berpengaruh positif signifikan terhadap efikasi diri keuangan (financial self-efficacy) dan perilaku pengelolaan keuangan (financial management behavior). Efikasi diri keuangan (financial self-efficacy) juga memiliki pengaruh positif signifikan terhadap perilaku pengelolaan keuangan (financial management behavior) mahasiswa. Selanjutnya, hasil penelitian menunjukkan bahwa locus of control memediasi hubungan antara pengetahuan keuangan (financial knowledge), sosialisasi keuangan (financial socialization), dan efikasi diri keuangan (financial self-efficacy) dengan perilaku pengelolaan keuangan (financial management behavior). Ini mengindikasikan bahwa locus of control memainkan peran penting dalam menghubungkan faktor-faktor tersebut. Penelitian ini memberikan kontribusi penting dalam pemahaman tentang faktor-faktor yang mempengaruhi perilaku pengelolaan keuangan mahasiswa.
PENGARUH KOMPENSASI, DISIPLIN, DAN MOTIVASI KERJA TERHADAP KINERJA KARYAWAN PADA PT SEMANGAT SEJAHTERA BERSAMA JAYAKARTA Peri; Meslo Perdede; Heles Eriyanto; Alfreid Lazuardi
JEBI | Jurnal Ekonomi Bisnis Indonesia Vol. 18 No. 1 (2023): Jurnal Ekonomi Bisnis Indonesia
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The purpose of this study was to determine the effect of variable compensation, discipline, and job motivation toward employees performance. The research method uses associative. Based on the results of the discussion the following conclusions are obtained: Test results partially for compensation variable with statistic values tcount< ttable (0.574 < 1.985) and probability values of 0.567 > 0.05, then Ho is accepted means there is influence significant from the compensation variable toward employees performance. Partial test results for discipline variables with statistic values tcount> ttable (2.962 > 1.985) and probability values of 0.004 < 0.05, then Ho is rejected means there is influence significant from the discipline variable toward employees performance. Partial test results for motivation job variables with statistic values tcount> ttable (2.017 > 1.985) and probability values of 0.046 < 0.05, then Ho is rejected means there is influence significant from the job motivation variable toward employees performance. Simultaneous test results with a value of Fcount> Ftable (31.918 > 2.700) and probability values of 0.000 < 0.05, then Ho is rejected or Ha is accepted which means that there is a significant simultaneous influence (together) of the variable compensation, discipline, and job motivation toward employees performance. The magnitude of the correlation coefficient (R) is 0.707 which means that there is a moderate correlation between compensation, discipline, and job motivation toward employees performance. The amount of the adjusted coefficient of determination (adjusted R2) is 0.484 or 48.4%, which means that the independent variables can explain the changes in the variable employees performance by 48.4% while the remaining 51.6% is explained by other factors outside the research this.
PENGARUH HARGA DAN KUALITAS PRODUK TERHADAP KEPUTUSAN PEMBELIAN YANG BERDAMPAK PADA KEPUASAN KONSUMEN (STUDI PADA PRODUK HANDUK LUPPEN DI TOKO SUMBER HIDUP) Suharto
JEBI | Jurnal Ekonomi Bisnis Indonesia Vol. 18 No. 02 (2023): Jurnal Ekonomi Bisnis Indonesia
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The purpose of this study was to determine the relationship between price, product quality, purchasing decisions, and consumer satisfaction. Consumer decisions in purchasing are determined by the buyer, marketing stimulation, and other stimulation. These variables influence the buying process each other to produce purchasing decisions based on price, brand choice, preferred store, and the number of purchases. One of the components that must be considered to influence consumers in purchasing is providing products with competitive prices and product quality. The data analysis technique used is the path analysis technique, this research uses quantitative qualitative methodsusing the numbers obtained through the questionnaire. This method is used for data obtained from questionnaire answers in the form of numbers that have been classified into specific categories using tables to facilitate testing through multivariate Structural Equation Modeling (SEM) techniques to determine the relationship between variables X Y and Z. The results of this study found that the price variable has no significant effect on purchasing decisions and consumer satisfaction. Product quality variables have a substantial effect on purchasing decisions and consumer satisfaction. The price variable has no significant effect on consumer satisfaction through purchasing decisions. And the product quality variable has a significant effect on consumer satisfaction through purchasing decisions
PENGALAMAN AUDIT DAN RED FLAGS AUDITOR DALA MENDETEKSI KECURANGAN DENGAN PERAN SKEPTISISME PROFESIONAL Akhmad Ali Sodikin
JEBI | Jurnal Ekonomi Bisnis Indonesia Vol. 18 No. 02 (2023): Jurnal Ekonomi Bisnis Indonesia
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Penelitian ini dilakukan untuk mengetahui implikasi pengalaman audit, red flags, serta skpetisme profesional terhadap deteksi kecurangan. Red flags (tanda bahaya) pada penelitian ini menggunakan persepsi pada kategori Pressure, Opportunity, Rationalization. Populasi dalam penelitian ini adalah auditor KAP di Jakarta Selatan dengan menggunakan metode convenience sampling. Dalam penelitian ini sumber data yang digunakan yaitu data primer dengan cara pengumpulan data yaitu teknik kuesioner. Teknik analisis data yang digunakan adalah analisis deskriptif kuantitatif. Penelitian ini menggunakan variabel bebas persepsi pada kategori Pressure, Opportunity, Rationalization, dan juga variabel moderasi yakni Skeptisisme Profesional. Sedangkan variabel terikat yakni deteksi kecurangan. Penelitian ini menunjukkan bahwa variabel bebas Pressure, Opportunity dan Skeptisisme berperan dalam mendeteksi kecurangan. Sedangkan pengalaman audit dan Rationalization tidak berperan dalam mendeteksi kecurangan dalam perusahaan. Hasil lain dari penelitian ini adalah skeptisisme profesional dapat memperkuat atau memperlemah pengalaman audit, redflag pada kategori Pressure dan Rationalization terhadap deteksi kecurangan. Namun tidak dapat memperkuat atau memperlemah persepsi pada kategori Opportunity, terhadap deteksi kecurangan perusahaan.
DETERMINAN KUALITAS PELAYANAN TERHADAP KEPUASAN NASABAH BANK SYARIAH INDONESIA DENGAN MODEL CARTER Rio Trisasmita; Lili Supriyadi
JEBI | Jurnal Ekonomi Bisnis Indonesia Vol. 19 No. 01 (2024): Jurnal Ekonomi Bisnis Indonesia
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This study aims to collect empirical evidence regarding the effect of the CARTER variable partially and simultaneously on customer satisfaction at Bank Syariah Indonesia. The method used in this research is Multiple Linear Regression Analysis. The results obtained indicate that the service quality of compliance, assurance, reliability, tangible, empathy, and responsiveness partially has a significant effect on customer satisfaction. Service quality compliance, assurance, reliability, tangible, empathy, and responsiveness together have an effect on customer satisfaction. The implication of this research is that it focuses on compliance, assurance, reliability, tangible, empathy, and responsiveness which can affect customer satisfaction at Bank Syariah Indonesia. The results of this study have previously had similarities and differences with previous studies. The similarity is that both use the CARTER dimension and the difference with previous studies using service quality measurements with the Servqual dimension.
PERAN STF UIN JAKARTA TERHADAP TINDAKAN PREVENTIF PUTUS KULIAH DALAM PERSPEKTIF KOMUNIKASI PEMBANGUNAN Ishmatun Nisa; Andi M. Faisal Bakti; Tantan Hermansah; Muhammad Fanshoby
JEBI | Jurnal Ekonomi Bisnis Indonesia Vol. 19 No. 01 (2024): Jurnal Ekonomi Bisnis Indonesia
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Poverty is one of the factors causing dropouts that must be solved by the government. Preventive actions to dropouts carried out by the government have not been comprehensive. Social Trust Fund (STF) UIN Jakarta improves the quality of education by solving students' economic problems through educational scholarships. The purpose of this study are to analyze the role of STF UIN Jakarta in preventing dropouts from the perspective of development communication, explain the STF UIN Jakarta diffusion model for preventing actions against dropouts, and determine the purpose of STF UIN Jakarta using a participatory model for preventing dropouts. STF UIN Jakarta is one of the institutions in UIN Jakarta controlling preventive dropouts. The STF UIN Jakarta program help students to solve their financial problems of education through scholarships, Charity Stores, Bailout Funds, Bungkesmas, Entrepreneurial Waqf Houses, and Waqf Endowment Funds. In this study, writer used a book from Jan Servaes, Communication for Development and Social Change (2008: 202-219). The theory used is Development Communication. The role of Development Communication carried out by STF UIN Jakarta is the publication of information such as writing, photos and videos through Socialtrustfund UIN JKT YouTube content, Twitter @STF_Uinjkt, Instagram @stfuinjkt, and Social Trust Fund UIN Jakarta Facebook account. STF UIN Jakarta involves the participation from all parties. STF UIN Jakarta prevents college dropouts through scholarship programs which funded by internal and external investors. STF UIN Jakarta has innovative programs to achieve social welfare.

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