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Jurnal Manajemen Bisnis dan Kewirausahaan
ISSN : -     EISSN : 25980289     DOI : http://dx.doi.org/10.24912/jmbk
Core Subject : Economy, Social,
Jurnal Manajemen Bisnis dan Kewirausahaan (E-ISSN: 2598-0289) is a peer-reviewed journal, which provides a forum for publishing scientific articles in management and business field, including genuine research result, novel scientific review, and critics or comments about management nowadays. Jurnal Manajemen Bisnis dan Kewirausahaan published by Magister Manajemen Universitas Tarumanagara. Jurnal Manajemen Bisnis dan Kewirausahaan accepts articles or manuscript in the management and business field from various source, academics and researchers, both national and international.
Articles 958 Documents
Analisis Kelayakan Pengembangan Proyek Apartemen Citra Living Citra Garden City Citra Sari Kusuma Wardhani dan Yanuar
Jurnal Manajemen Bisnis dan Kewirausahaan Vol 3, No 6 (2019): Jurnal Manajemen Bisnis dan Kewirausahaan
Publisher : Universitas Tarumanagara

Show Abstract | Download Original | Original Source | Check in Google Scholar | Full PDF (114.053 KB) | DOI: 10.24912/jmbk.v3i6.6098

Abstract

Jakarta is experiencing a favourite residential growth due to the high level of urban migration to Indonesia’s capital. Therefore, PT CD, through its subsidiary, PT CMG, KSO, tries to fulfill the increasing demand of residential housing by developing a ± 1 ha of land in the West of Jakarta. The development is called the Apartement Citra Living project. This paper is developed to determine the feasibility of the project through cash flow sensitivity analysis. There are 2 (two) assumptions used, which are : the normal, and optimistic assumptions. These assumptions are tested through 4 (four) calculation methods: Payback Period, Net Present Value (NPV), Internal Rate of Return (IRR) and Profitability Index (PI). The results of the sensitivity analysis are as follows Payback periods for the project are 8 months for normal and, 3 months for optimistic; The NPV is positive for all assumptions; The IRR for the normal and optimistic assumptions are higher than the Weighted Average Cost of Capital (WACC) 10%. The PI for normal and optimistic assumptions are more than 1 (one). So, the project is feasible. Therefore, based on the results of the sensitivity analysis of the project’s cash flow, it is concluded that the Apartement Citra Living project is a profitable business decision. To increase profitability level, the company should try to find other financing alternatives to lower the cost of capital.
Analisis Pengaruh Kinerja Perusahaan, Kebijakan Hutang, Ukuran Perusahaan, Dan Nilai Perusahaan Terhadap Tingkat Pengembalian Investasi Pada Perusahaan Property Dan Real Estate Yang Terdaftar Di Bei Periode 2014-2016 Julianti Levina Kosman dan Indra Widjaja
Jurnal Manajemen Bisnis dan Kewirausahaan Vol 2, No 3 (2018): Jurnal Manajemen Bisnis Dan Kewirausahaan
Publisher : Universitas Tarumanagara

Show Abstract | Download Original | Original Source | Check in Google Scholar | Full PDF (700.398 KB) | DOI: 10.24912/jmbk.v2i3.4840

Abstract

The purpose of this research is to examine empirically the influence of company performance, debt policy, firm size and firm value toward retun on investment. In this research, researcher used four independent variables and one dependent variabel. Company performance is proxied by Return On Equity (ROE), Debt policy is proxied by Debt to Equity Ratio (DER), firm size is proxied by Natural Logarithm of Total Asset (SIZE), firm value is proxied by Price Book Value (PBV), and return on investment is proxied by Stock Return (RETURN). The sample of the research consist of 36 property and real estate companies listed in Indonesia Stock Exchange in the period 2014-2016. This research used quantitative analysis with panel data estimation methods with time series and cross section data used 5% significance level. The result shows that company performance have a positive effect and insignificant toward stock return, debt policy have a negative effect and significant toward stock return, firm size has a negative effect and insignificant toward stock return and firm value have a positive effect and significant toward the stock return.
Pengaruh User Interface Quality, Information Quality, Perceived Security, Perceived Privacy, Belief, Dan Knowledge Terhadap Niat Beli Barang Di Website E-Commerce Di Indonesia. Herison Halim
Jurnal Manajemen Bisnis dan Kewirausahaan Vol 3, No 2 (2019): Jurnal Manajemen Bisnis Dan Kewirausahaan
Publisher : Universitas Tarumanagara

Show Abstract | Download Original | Original Source | Check in Google Scholar | Full PDF (677.249 KB) | DOI: 10.24912/jmbk.v3i2.4961

Abstract

E-Commerce or better known as electronic commerce is the dissemination, buying, selling, marketing of goods and services through electronic systems. In Indonesia, E-Commerce began to show a fairly rapid development. Factors Knowledge them about E-Commerce that makes the users of E-Commerce in Indonesia feel unsure to make transactions on the E-Commerce website. In addition to Knowledge factors, other factors such as User Interface Quality, Information Quality, Perceived Security and Perceived Privacy, are factors that can trigger a person to be able to perform transactions in E-Commerce. Then the factor of trust, attitude can also affect a person in doing transactions on E-Commerce website. This study aims to find out how the influence of user interface quality, information quality, perceived security, perceived privacy variables via trust variables, and belief variables, and knowledge through attitude variable to purchase intention in E-Commerce website in Indonesia. analysis method used is path analysis method, data source used is primary data. in this study also carried out the distribution of questionnaires as much as 300 respondents with the requirement that the prospective respondents must have or often give goods on E-Commerce website. The results There are variables that significantly affect the trust variables of User Interface Quality, Information Quality, Perceived Privacy. While other variables such as Belief, and Knowledge, significant effect on the Attitude someone to act or conduct transactions in E-Commerce website in Indonesia.
Faktor-Faktor Prediktor Investment Opportunity Set Dan Firm Value Pada Perusahaan Propertydan Real Estate Yang Terdaftar Di Bei Rita Amelinda dan Indra Widjaja
Jurnal Manajemen Bisnis dan Kewirausahaan Vol 2, No 2 (2018): Jurnal Manajemen Bisnis Dan Kewirausahaan
Publisher : Universitas Tarumanagara

Show Abstract | Download Original | Original Source | Check in Google Scholar | Full PDF (806.52 KB) | DOI: 10.24912/jmbk.v2i2.4828

Abstract

Great integration and similar point of view between  stakeholders are essential to build an optimal firm value. As alongwith firm value, most of investor also view rate of return in their investment. Therefore, investment opportunity set could also become a mediator to optimize firm value. Recently ,in a crisis and financial distress condition, these two main variables lead to dilemma for some company such. This study aims to find out about the factors which predict the firm value and investment opportunity set. The sample of this research consist on 39 companies in property and real estate industry sector which listing in Indonesia Stock Exchange (IDX) between 2012 until 2016 period. This research used panel regression analysis with fixed effect method to test their hypothesis. The conclusion of this study indicate that simultaneously, leverage, financial risk, free cash flow, institutional ownership, and working capital affect the firm value significantly. While, partially, only leverage, free cash flow, and working capital which affect the firm value significantly. On the other hand, investment opportunity set has only perfectly mediating between financial risk and institutional ownership to firm value and partially mediating leverage to firm value.
Analisis Pengukuran Kinerja Divisi It Menggunakan It Balanced Scorecard Pada Pt. Xyz Edi Gunawan
Jurnal Manajemen Bisnis dan Kewirausahaan Vol 3, No 2 (2019): Jurnal Manajemen Bisnis Dan Kewirausahaan
Publisher : Universitas Tarumanagara

Show Abstract | Download Original | Original Source | Check in Google Scholar | Full PDF (591.415 KB) | DOI: 10.24912/jmbk.v3i2.4966

Abstract

This research is to measure Information Technology performance in a company using IT Balanced Scorecard. Currently at PT. XYZ, there is no measurement of IT performance to know the contribution of IT department, so that the author plans to develop the IT Balanced Scorecard to measure the performance of IT department. IT Balanced Scorecard that has four perspectives is very well used to formulate IT Strategic targets that support the company’ strategic goals and measure IT performance. Plan to implement the IT Balanced Scorecard can be done by data collection, interview, and questionnaries, so we can know the initial conditions at IT department. With this analysis, can be seen directly the support of IT department to company strategic plan, get new standard for KPI (Key Performance Indicator) so in the future, performance improvement can be measured better and get seven strategic objectives used by the IT department.
Pengajuan Analisa Marketing Mix-4p Terhadap Purchase Intention Produk Aqua Di Dki Jakarta Airin Anggraeni Sutedjo
Jurnal Manajemen Bisnis dan Kewirausahaan Vol 2, No 3 (2018): Jurnal Manajemen Bisnis Dan Kewirausahaan
Publisher : Universitas Tarumanagara

Show Abstract | Download Original | Original Source | Check in Google Scholar | Full PDF (611.831 KB) | DOI: 10.24912/jmbk.v2i3.4846

Abstract

This research aims to analyze the effect Marketing Mix-4P on consumer’s Purchase Intention towards Aqua Product in DKI Jakarta. Data used in this research were obtained from questionnaires (primary). Sampling Methods used in this study using the Non-Probability Sampling Method, in which each element in the population does not have the opportunity or the same opportunity to be selected as a sample. The technique used is Convenience Judgment Sampling because the respondents selected are respondents who are willing and can help answer the research questions asked. To facilitate the study, the researcher has determined the criteria to be used in the sample selection in this research. The sample used by the researcher is people who live in DKI Jakarta province. Research findings show that the four Marketing Mix variables used in this study, Price, Product, and Promotion variables have a significant effect on Aqua Product Purchase Intention. Meanwhile, the Marketing Mix variable that does not provide significant impact to Aqua Product Purchase Intention is Place. The contribution of the four Marketing Mix variables included in the analysis model of the Purchase Intention of Aqua Products is 47.3% and the rest of 52.7% is influenced by other factors not tested in this study.
Analisis Pengembangan Business Model Canvas Dalam Upaya Meningkatkan Keunggulan Bersaing Pt. Xyz. Budiarto Budiarto
Jurnal Manajemen Bisnis dan Kewirausahaan Vol 3, No 1 (2019): Jurnal Manajemen Bisnis Dan Kewirausahaan
Publisher : Universitas Tarumanagara

Show Abstract | Download Original | Original Source | Check in Google Scholar | Full PDF (496.169 KB) | DOI: 10.24912/jmbk.v3i1.4931

Abstract

The purpose of this research is to analyze various opportunities and threats obtained from the external environment and various strengths and weaknesses that PT XYZ has obtained from the internal environment which can be a reference for determining the company's business strategy. The external environment covers the general environment (macro) by using PESTEL Analysis (political, economy, social, technology, environment, legal) and also the industrial environment, using the Five Forces Porter analysis. The internal environment uses Core Competencies analysis with the VRCN criteria (Valuable, Rare, Costly to Imitate, Non-Substitutable). The combination of analyst results obtained from the external environment and internal environment will be able to provide an overview of the company's condition which will be simplified by the SWOT Matrix method and the Strategic Generic Porter. It is suggested that PT XYZ conducts market penetration outside the IPC group by developing end-to-end supply chain management product solutions by offering new model business patterns such as revenue sharing and manage operation by making product innovations that are in line with current technological needs.
Analisis Kinerja Keuangan Pt Ciputra Development Tbk (Ctra) Setelah Penerbitan Dana Investasi Real Estat (Dire) Martin Teguh Wibowo
Jurnal Manajemen Bisnis dan Kewirausahaan Vol 3, No 1 (2019): Jurnal Manajemen Bisnis Dan Kewirausahaan
Publisher : Universitas Tarumanagara

Show Abstract | Download Original | Original Source | Check in Google Scholar | Full PDF (480.786 KB) | DOI: 10.24912/jmbk.v3i1.4926

Abstract

Real Estate Investment Trust is known in Indonesian regulation as Dana Investasi Real Estat (DIRE). Many Indonesian listed developers are still not interested in DIRE as one of financing alternatives. This research aims to analyze the 2017 financial performance of PT Ciputra Development Tbk (CTRA) as a result of issuance of DIRE in terms of (i) funds received from DIRE issuance;(ii) dividend received from DIRE and (iii) its solvency ratios. The result of the research can be useful as (i) an input for management of CTRA that issuance of DIRE can be beneficial in terms of financial and (ii) a reference for investors for diversification in their investments. The method of this research is qualitative descriptive. The research used 2017 audited financial data for recurring income and its related expenses, fair value of recurring assets and some assumptions such as: 51% ownership of CTRA in DIRE, fees related to DIRE supporting institutions and issuance costs, as a basis for financial calculation of DIRE issuance. The result found that CTRA  have (i) fresh fund from issuance of DIRE of Rp 3,7 trillion ; (ii) dividend from DIRE in 2017 of Rp 242 billion; and (iii) healthier solvency ratios after DIRE issuance i.e. lower DER and Debt ratio. The conclusion of this research is that CTRA have improved financial performance i.e. lowered solvency ratios and steady dividend streaming from DIRE every year. CTRA will have room for growth in the future to develop new projects.
Analisis IFE, EFE, dan Balance Scorecard pada Grup Perusahaan PT Kirana Megatara Christian Chandra Kusuma; Carunia Mulya Firdausy
Jurnal Manajemen Bisnis dan Kewirausahaan Vol 1, No 1 (2017): Jurnal Manajemen Bisnis dan Kewirausahaan
Publisher : Universitas Tarumanagara

Show Abstract | Download Original | Original Source | Check in Google Scholar | Full PDF (693.858 KB) | DOI: 10.24912/jmbk.v1i1.4760

Abstract

This research objective is aimed to analyze and evaluate the internal and external factors of the company and to design the balance scorecard as an alternative of performance measurement tools to support the company’s vision, mission, and strategy to achieve competitive advantage. The internal and external factors are to knowing what are the strengths and weaknesses of the company, also the opportunities and threats from the outside of the company. Based on the SWOT analysis, PT Kirana Megatara can identify the key success factors to compete with other companies in the same industry. Balanced Scorecard enables companies to record financial performance results as well as monitor progress in building the company's ability and to obtain intangible assets that required for future growth. Balance scorecard measures the performance of companies on the four perspectives of balanced: financial, customer, internal business processes, and learning growth to create strategy maps of the company. Based on the balance scorecard analysis, the current performance in PT Kirana Megatara is more focusing on financial perspective, which are growth of the sales and profitability increment. To achieve long term objective, PT Kirana Megatara should also concern of the other three perspectives of balance scorecard. 
Analisis Pengaruh Car, Npl, Nim, Bopo Dan Ldr Terhadap Roe Pada Bank Umum Swasta Nasional Devisa Di Indonesia Monica Monica
Jurnal Manajemen Bisnis dan Kewirausahaan Vol 3, No 3 (2019): Jurnal Manajemen Bisnis Dan Kewirausahaan
Publisher : Universitas Tarumanagara

Show Abstract | Download Original | Original Source | Check in Google Scholar | Full PDF (747.972 KB) | DOI: 10.24912/jmbk.v3i3.4971

Abstract

This research is meant to find out the influence of Capital Adequacy Ratio (CAR), Non Performing Loan (NPL), Net Interest Margin (NIM), Biaya Operasional/Pendapatan Operasional (BOPO), and Loan to Deposit Ratio (LDR) to the Return on Equity (ROE) at Private Foreign Exchange National Bank in Indonesia. The population is all Private Foreign Exchange National Bank in Indonesia. This study has been done by using purposive sampling method with two criteria so 20 companies have been selected as samples. The analysis technique has been done by using multiple linear regressions. The results showed that CAR, NIM, and LDR did not effect to ROE, whereas NPL and BOPO has negative effect to ROE. Where it was proved  that together CAR, NPL, NIM, BOPO, and LDR have influence to ROE. Management should improve the company’s financial performance, especially on the non performing loan and operational efficiency of the business so that the company can improve to ROE

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