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Coopetition : Jurnal Ilmiah Manajemen
ISSN : 20864620     EISSN : 26154978     DOI : 10.32670
Coopetition : Jurnal Ilmiah Manajemen (E-ISSN : 2615-4978, P-ISSN : 2086-4620) adalah jurnal ilmiah bidang manajemen yang diterbitkan oleh Program Studi Magister Manajemen, Institut Manajemen Koperasi Indonesia, yang semula dua kali dalam setahun, menjadi tiga kali dalam setahun yaitu bulan Maret, Juli dan Nopember. Jurnal ini mempublikasikan hasil penelitian berkaitan tentang konsep, teori, paradigma dan metodologi ilmu manajemen sesuai visi Program Studi Magister Manajemen Ikopin yaitu Unggul dalam menghasilkan lulusan magister manajemen yang berkualitas di bidang perkoperasian dan kewirausahaan untuk menghadapi persaingan global pada tahun 2027. Adapun lingkup jurnal meliputi 1) Manajemen Sumber Daya Manusia 2) Manajemen Keuangan 3) Manajemen Perbankan 4) Manajemen Pemasaran 5) Manajemen Koperasi 6) Manajemen Syariah 7) Manajemen Ekonomi Publik 8) Manajemen Pendidikan 9) Kewirausahaan. Coopetition : Jurnal Ilmiah Manajemen telah terakreditasi melalui Surat Keputusan Direktur Jenderal Penguatan Riset dan Pengembangan Kementerian Riset, Teknologi, dan Pendidikan Tinggi Nomor 36/E/KPT/2019, tanggal 13 Desember 2019.
Arjuna Subject : Umum - Umum
Articles 419 Documents
Analisis Strategi Perluasan Usaha Koperasi Kakitangan Petronas Berhad Malaysia Oktaviani, Christina; Indra Praja, Gunawan; Raudah, Warda; Gunadi, Trida
Coopetition : Jurnal Ilmiah Manajemen Vol. 15 No. 3 (2024): Coopetition : Jurnal Ilmiah Manajemen
Publisher : Program Studi Magister Manajemen, Institut Manajemen Koperasi Indonesia

Show Abstract | Download Original | Original Source | Check in Google Scholar | DOI: 10.32670/coopetition.v15i3.4825

Abstract

Business development of the Koperasi Kakitangan Petronas (Kopetro) requires a careful business strategy to face market changes and dynamic member needs. Cooperatives not only act as providers of financial services, but also as economic platforms for their members to obtain wider benefits through various business opportunities. Therefore, this research aims to analyze how Kopetro implements business expansion strategies and strengthens its position in Malaysian industrial cooperatives. The research method used is descriptive qualitative with a field study approach based on primary data obtained through visits, interviews and other internal document reviews. Based on the analysis, Kopetro has succeeded in expanding the business sector through business diversification, sharia-based financial services, and strengthening information technology, maintaining achievements and recognition as well as managing human resources. This strategy allows Kopetro to adapt to market changes and remain competitive. Kopetro has succeeded in expanding its business to cover various sectors such as trade and retail, tourism and recreation services, catering, property and sharia-based services. However, there are several challenges that can be motivation for Kopetro, such as consolidation of business management, continuous improvement in service quality and international business expansion.
Optimalisasi Good Governance melalui Prinsip Akuntabilitas Hukum dalam Pengelolaan Keuangan Negara Anggraini, Mellisa
Coopetition : Jurnal Ilmiah Manajemen Vol. 15 No. 3 (2024): Coopetition : Jurnal Ilmiah Manajemen
Publisher : Program Studi Magister Manajemen, Institut Manajemen Koperasi Indonesia

Show Abstract | Download Original | Original Source | Check in Google Scholar | DOI: 10.32670/coopetition.v15i3.4826

Abstract

This study discusses the importance of implementing the principle of accountability in state financial management to support the realization of good governance in Indonesia. The principle of results-oriented accountability emphasizes that every budget user must be responsible for the use of public funds and explain the performance of the organization, both in terms of the success and failure of a program. Although various regulations have been established to support transparent and accountable financial management, this study found that its implementation still faces challenges, such as lack of transparency, weak supervision, and slow law enforcement against violations. This study uses a normative legal approach to analyze how accountability can be implemented more effectively in state financial management to encourage the achievement of good governance. The results of the study indicate that increasing transparency, strengthening the internal supervision system, and stricter law enforcement are needed to create better governance in Indonesia.
Faktor Intensi Berasuransi Syariah: Pengetahuan dan Citra, Kepercayaan Sebagai Variable Mediasi Amran, Ellyana
Coopetition : Jurnal Ilmiah Manajemen Vol. 15 No. 3 (2024): Coopetition : Jurnal Ilmiah Manajemen
Publisher : Program Studi Magister Manajemen, Institut Manajemen Koperasi Indonesia

Show Abstract | Download Original | Original Source | Check in Google Scholar | DOI: 10.32670/coopetition.v15i3.4829

Abstract

Indonesia as a country with a majority Muslim population, in fact, shows that the penetration of Islamic insurance is still very low compared to conventional insurance. The purpose of this study is to explain the effect of knowledge and product image on Islamic insurance intention in high school teachers in the DKI Jakarta area, mediated by trust. Jakarta, as the center of government and the center of economic activity, has multiple roles and is multi-ethnic and multi-cultural with complex problems. This research uses qualitative and quantitative analysis with a sample size of 270 respondents, taken with the purposive sampling technique. Data were collected and processed using the structural equation model methodology. The results of the analysis show that there is no effect of knowledge on Islamic insurance intentions; product image affects Islamic insurance intentions; both knowledge and product image affect Islamic insurance intentions mediated by trust.
Pengaruh Struktur Modal Terhadap Profitabilitas : Studi Pada Bank BUMN yang Terdaftar Di Bursa Efek Indonesia Jaja, Jaja; Andita Permatasari Radia, Dewi
Coopetition : Jurnal Ilmiah Manajemen Vol. 15 No. 3 (2024): Coopetition : Jurnal Ilmiah Manajemen
Publisher : Program Studi Magister Manajemen, Institut Manajemen Koperasi Indonesia

Show Abstract | Download Original | Original Source | Check in Google Scholar | DOI: 10.32670/coopetition.v15i3.4846

Abstract

This study aims to analyze the effect of capital structure on profitability, focusing on the debt-to-equity ratio and debt-to-asset ratio as the main indicators of capital structure. Data were collected from state-owned banks listed on the Indonesia Stock Exchange during the period 2020-2023. The analysis method used is multiple linear regression, which allows measuring the relationship between the independent variable (capital structure) and the dependent variable (profitability) as measured by return on assets and return on equity. The results of the study indicate that there is a significant effect between capital structure and profitability. Optimal use of debt contributes to increased profitability, especially in the utilization of taxes from debt interest. However, increasing leverage beyond a certain limit can have a negative impact on profitability due to the risk of bankruptcy and increased interest expenses. In addition, the effect of capital structure on profitability varies depending on the industrial sector and company size. Effective management of capital structure is key to improving the Bank's financial performance.
Pengujian Mobile Service Quality Terhadap Continuance Intention: Perceived Value Sebagai Variabel Mediasi Rifkiyanda Mulyasa , Haikal; Tjahyadi, Rully Arlan
Coopetition : Jurnal Ilmiah Manajemen Vol. 16 No. 1 (2025): Coopetition : Jurnal Ilmiah Manajemen
Publisher : Program Studi Magister Manajemen, Institut Manajemen Koperasi Indonesia

Show Abstract | Download Original | Original Source | Check in Google Scholar | DOI: 10.32670/coopetition.v16i1.4482

Abstract

The growth of technology has led to the development of various MVAS forms available by mobile telecommunication companies, which has made the existence of MVAS in Indonesia increasingly popular. This study aims to examine the influence of mobile service quality on perceived value and continuance intention, the influence of perceived value on continuance intention, and the role of perceived value as a mediating variable in the relationship between mobile service quality and continuance intention. There are 150 MVAS consumers as the sample size for this study. The sample collection uses a non-probability method with purposive sampling technique. Validity and reliability tests were applied to test the study instruments. The data were tested using classic assumption tests: multicollinearity test, heteroscedasticity test, and normality test. Hypothesis testing was conducted using the Path Analysis method. The study found that mobile service quality influences perceived value. Other results indicate that mobile service quality and perceived value influences continuance intention. Additionally, perceived value is known to partially mediate the indirect relationship between mobile service quality and continuance intention. This study is expected to provide answers to the limitations of previous studies. The managerial implications of this research are expected to contribute to mobile telecommunication companies.
Pajak Tangguhan dan Tax to Book Ratio dalam Mempengaruhi Kinerja Keuangan: Perusahaan Sektor Pertambangan Indonesia Saparinda, Raden Wulan; Riyadi, Wulan; Siti Nabilla, Zalfa
Coopetition : Jurnal Ilmiah Manajemen Vol. 16 No. 1 (2025): Coopetition : Jurnal Ilmiah Manajemen
Publisher : Program Studi Magister Manajemen, Institut Manajemen Koperasi Indonesia

Show Abstract | Download Original | Original Source | Check in Google Scholar | DOI: 10.32670/coopetition.v16i1.4724

Abstract

Financial performance is influenced by several factors, including deferred tax and the tax-to-book ratio. A decline in net profit accompanied by a decrease in revenue occurred in the first semester of 2023 for three coal companies: PT. Adaro Energy Indonesia Tbk, PT. Indo Tambangraya Megah Tbk, and PT. Indika Energy Tbk. The main cause is attributed to the weakness in average selling prices. This study aims to determine whether deferred tax and the tax-to-book ratio have an impact on financial performance (A Study on Mining Companies Listed on the Indonesia Stock Exchange for the Period 2018-2022). The research uses secondary data. The sample consists of mining companies listed on the Indonesia Stock Exchange (IDX) for the period 2018-2022, selected using purposive sampling, resulting in 40 data samples. The research method employed includes descriptive and verification statistics. Data is analyzed using SPSS version 25, with tests including classical assumption tests, multiple linear regression tests, coefficient of determination tests, and hypothesis testing. The results indicate that: (1) deferred tax does not have a significant impact on financial performance; (2) the tax-to-book ratio has a significant impact on financial performance; (3) both deferred tax and the tax-to-book ratio have a significant impact on financial performance.
Pengaruh Overconvidence Bias terhadap Pengambilan Keputusan Investasi di Pasar Saham Selama Perang Rusia-Ukraina Irawan, Rini Larasati
Coopetition : Jurnal Ilmiah Manajemen Vol. 16 No. 1 (2025): Coopetition : Jurnal Ilmiah Manajemen
Publisher : Program Studi Magister Manajemen, Institut Manajemen Koperasi Indonesia

Show Abstract | Download Original | Original Source | Check in Google Scholar | DOI: 10.32670/coopetition.v16i1.5011

Abstract

This study examines the impact of overconfidence bias on investment decision-making during the Rusia-Ikraine war in the Indonesian energy stock market. Overconfidence bias is a cognitive bias where investors overestimate their ability to predict market movements, often leading to an increase in transaction frequency and the taking of irrational risks. Using stock return data from the companies INCO, ADRO, ITMG, and the JKSE during the 2022-2024 activity lever segregation methods to explore this phenomenon. The results indicate that high market volatility exerbates overconfidence bias, particulary among investors with high activity levels leading to more frequent transactions and suboptimal investment decisions. In contrast, investors with lower activity levels tend to exhibit more rational behavior, maintaining better portolio stability during extreme market conditions promote more rational decision-making. These findings contribute sifnificantly to the understanding of investor psychology the importance of strategies to mitigate cognitive biases, especially during periods of high market volatility.
Pengaruh Live Streaming dan Price Discount terhadap Loyalitas Pelanggan Pengguna TikTok Shop di Kabupaten Majalengka Masduki; Pipih Sopiyan; Sayidil Umam, Mochamad Febri; Alan Rusdiana; Sri Wahyuni
Coopetition : Jurnal Ilmiah Manajemen Vol. 16 No. 1 (2025): Coopetition : Jurnal Ilmiah Manajemen
Publisher : Program Studi Magister Manajemen, Institut Manajemen Koperasi Indonesia

Show Abstract | Download Original | Original Source | Check in Google Scholar | DOI: 10.32670/coopetition.v16i1.5092

Abstract

ABSTRAK Transformasi digital menggeser cara berbelanja dengan memperkenalkan social commerce yang membuat perusahaan dihadapkan pada tuntutan tidak hanya menarik perhatian tetapi juga mempertahankan loyalitas pelanggan. Namun, tidak sedikit loyalitas pelanggan rendah diakibatkan karena kekuatan live streaming dan price discount yang masih rendah. Penelitian ini bertujuan untuk menggambarkan live streaming, price discount dan loyalitas pelanggan serta mengetahui dan menganalisis secara parsial pengaruh live streaming dan price discount terhadap loyalitas pelanggan pengguna TikTok Shop Majalengka. Penelitian ini menggunakan metode pendekatan kuantitatif dengan analisis deskriftif dan verifikatif. Jumlah populasi pengguna TikTok Shop Majalengka berjumlah 100 orang. Sampel yang digunakan adalah sampel accidental sampling dengan jumlah 100 orang pada pengguna TikTok Shop Majalengka. Data analisis menggunakan uji asumsi klasik, analisis regresi linier berganda, analisis koefisien determinasi dan uji hipotesis. Hasil penelitian ini menyatakan bahwa live streaming dan price discount memiliki pengaruh yang positif dan signifikan terhadap variabel terikat loyalitas pelanggan. Kata Kunci: Live Streaming, Loyalitas Pelanggan, Price Discount, Tiktok Shop. ABSTRACT Digital transformation has shifted the way shopping is done by introducing social commerce, which makes companies faced with the demands of not only attracting but also maintaining customer loyalty. However, not a few low customer loyalty is caused by the strength of live streaming and price discounts that are still low. This study aims to describe live streaming, price discounts and customer loyalty and to determine and partially analyze the effect of live streaming and price discounts on customer loyalty of TikTok Shop Majalengka social commerce users. This study uses a quantitative approach method with descriptive and verification analysis. The total population of TikTok Shop Majalengka social commerce users is 100 people. The sample used was accidental sampling with a total of 100 people in TikTok Shop Majalengka social commerce users. Data analysis using classical assumption test, multiple linear regression analysis, coefficient of determination analysis and hypothesis testing. The results of this study state that live streaming and price discounts have a positive and significant effect on customer loyalty. Keywords: Live Streaming, Customer Loyalty, Price Discount, Tiktok Shop
Human Resource Management in National Defense Policy:: Reserve Component Management Strategy Rosmayati, Siti; Arman Maulana
Coopetition : Jurnal Ilmiah Manajemen Vol. 16 No. 1 (2025): Coopetition : Jurnal Ilmiah Manajemen
Publisher : Program Studi Magister Manajemen, Institut Manajemen Koperasi Indonesia

Show Abstract | Download Original | Original Source | Check in Google Scholar | DOI: 10.32670/coopetition.v16i1.5105

Abstract

National Defense Policy plays an important role in maintaining the sovereignty and security of a country, including in the preparation of national defense reserve components. This article discusses the importance of reserve components in facing threats from both within and outside the country. National defense reserve components include various elements, ranging from military personnel, equipment, to defense infrastructure that is ready to be mobilized in emergency situations or large-scale conflicts. This study uses qualitative methods and documentary data collection techniques to analyze the needs and strategies for developing reserve components. Various considerations, such as population size, security conditions, defense strategies, resources, and capacity development, are taken into account in determining the optimal number and needs of reserve components. In addition, the role and function of reserve components in various aspects of national defense activities, as well as follow-up plans for development and training to improve the readiness of reserve components in supporting national security
How Investor Sentiment and Trading Behavior affect Stocks Return: : Analyzing from Taiwan Index Series that Traded on The Main Market Asa Rembokowati, Ni
Coopetition : Jurnal Ilmiah Manajemen Vol. 16 No. 1 (2025): Coopetition : Jurnal Ilmiah Manajemen
Publisher : Program Studi Magister Manajemen, Institut Manajemen Koperasi Indonesia

Show Abstract | Download Original | Original Source | Check in Google Scholar | DOI: 10.32670/coopetition.v16i1.5121

Abstract

This research concerns how investor sentiment and trading behavior affect stock returs while applied in the different conditions from the same sample stocks. This research uses the daily stock price, the number of shares, and trading volumes of the company that includes in Taiwan 50 index on the study period 2016 to 2020. Then from 50 companies listed during the sample period, the researcher excludes those suffering from the suspension of trading or administrative issues, which leaves 43 companies, then the researcher tries to regrouping the samples into several categories. First, is all sample stocks from the 50 index series. Second, regrouping all sample stocks into three group sectors includes electronic, finance, and traditional sectors. Third, the researcher categorizes the same sample stocks into high, middle, and low foreign shareholding. The method of this quantitative causality research is multiple linear regression (MLR). Meanwhile, based on the research results it can be concluded that a large market capitalization on the criteria for grouping a company, can’t be the only standard in determining the influence between variables, because there are other factors that can affect the results of the study.

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