cover
Contact Name
Muhammad Ali Fikri
Contact Email
muhammad.fikri@mgm.uad.ac.id
Phone
+628122993530
Journal Mail Official
fokus@mgm.uad.ac.id
Editorial Address
Jalan Kapas 9 Semaki Yogyakarta
Location
Kota yogyakarta,
Daerah istimewa yogyakarta
INDONESIA
Jurnal Fokus Manajemen Bisnis
ISSN : 20884079     EISSN : 27160521     DOI : 10.12928
FOKUS Jurnal Manajemen Bisnis mencakup penelitian yang berkaitan dengan: 1. Manajemen Pemasaran 2. Manajemen Keuangan dan Perbankan 3. Manajemen Sumber Daya Manusia 4. Manajemen Operasi 5. Manajemen Strategik 6. Manajemen Pengetahuan 7. Bisnis, Inovasi, Ekonomi. 8. Kewirausahaan 9. Manajemen Syariah
Articles 451 Documents
ANALISIS EFISIENSI PASAR MODAL SYARI’AH BENTUK LEMAH DAN SETENGAH KUAT PADA BURSA EFEK INDONESIA Susi Nuryanti; Tina Sulistiyani
Jurnal Fokus Manajemen Bisnis Vol. 4 No. 2 (2014)
Publisher : Universitas Ahmad Dahlan

Show Abstract | Download Original | Original Source | Check in Google Scholar | DOI: 10.12928/fokus.v4i2.1356

Abstract

The purpose of this study was to test the efficiency of the Islamic capital market is weak form by using price information in 2014 and forms a strong half by using information announcement of fuel price increases in November 2014. Sampling was done by purposive sampling method. For weak form efficiency test sample obtained 30 companies, and 24 samples to test the efficiency of a semi-strong. Capital market efficiency hypothesis testing is done with a weak form Run test. While the half strong form efficiency hypothesis was tested with One sample test. Results from this study are in the period 2014 Islamic capital market has been efficient in weak form by using price information, evidenced by the pattern of change in the return 28 of the 30 shares of the company are random sample (random), and has been efficient in the form of a strong half by using information price increase BBM, as evidenced by the occurrence of significant abnormal returns around the announcement date of the increase in fuel, ie at t0 (the day of the announcement), t + 2 (two days after the announcement) and T + 5 (five days after the announcement).
ANALISIS PERBEDAAN RETURN SAHAM SEBELUM DAN SESUDAH PENGUMUMAN RIGHT ISSUE Masdalena Masdalena; Aftoni Sutanto
Jurnal Fokus Manajemen Bisnis Vol. 4 No. 2 (2014)
Publisher : Universitas Ahmad Dahlan

Show Abstract | Download Original | Original Source | Check in Google Scholar | DOI: 10.12928/fokus.v4i2.1357

Abstract

This research aims to determine whether there are differences in stock returns before and after the announcement of the rights issue on the Indonesia Stock Exchange 2009-2013 period. This study was conducted on 43 companies listed in the Indonesia Stock Exchange right issues in the year 2009 to 2013, with a purposive sampling method. This research used the t-test analysis test by way Paired Sample Test with the observation period (event window) there are 20 days, t-10 (10 days prior to the announcement of the rights issue) and t + 10 (10 days after the announcement of the right issue). The announcement of the test results are known to contain information because the announcement led to market tereaksinya indicated by the presence pf abnormal return that occurred and the results of t-test menunjukkan significance value 0.036<α0.05 to distinction stock returns 10 days prior to the stock return 10 days after the announcement of the right issue. This that information is not leaked.
PENGARUH PERISTIWA PENGUMUMAN KABINET KERJA JOKOWI DAN JUSUF KALLA TERHADAP PASAR MODAL DI INDONESIA Siti Nur Wijayanti; Tina Sulistiyani
Jurnal Fokus Manajemen Bisnis Vol. 4 No. 2 (2014)
Publisher : Universitas Ahmad Dahlan

Show Abstract | Download Original | Original Source | Check in Google Scholar | DOI: 10.12928/fokus.v4i2.1358

Abstract

The purpose of this research is to analyze the effect of announcement event from Kabinet Jokowi-Jusuf Kalla toward capital market in Indonesia as seen in the stock price differences and occurences of abnormal return. This research uses event study research method conducted for 30 days. That is the first fifteen days before the event the event and fifteen days after the event began from October 6th, 2019 until November 14th, 2014. The testing instrument used for seeking the differences of stock price in every company uses Paired Sample T Test. While for abnormal return testing the researcher uses One Sample T Test. The result of the research shows that announcement effect of Kabinet Kerja Jokowi-Jusuf Kalla in Indonesian capital market gives significant difference on 14 companies from 24 companies which is incorporated in Jakarta Islamic Index (JII) in period of June to November 2014. The second result of the research shows a presence of abnormal return that can be seen on Ciputra Development Tbk. Because of announcement effect from Kabinet Kerja Jokowi-Jusuf Kalla in Indonesian capital market.
PENGARUH TINGKAT PERTUMBUHAN PERUSAHAAN, RETURN ON ASSETS (ROA), DAN SHAREHOLDER DISPERSION TERHADAP KEBIJAKAN DIVIDEN DAN INDUSTRI MANUFAKTUR DI BURSA EFEK INDONESIA Amanda Deby Sheviana; Tina Sulistiyani
Jurnal Fokus Manajemen Bisnis Vol. 4 No. 2 (2014)
Publisher : Universitas Ahmad Dahlan

Show Abstract | Download Original | Original Source | Check in Google Scholar | DOI: 10.12928/fokus.v4i2.1359

Abstract

This research aims to understand the influence of a variable degree growth of the company, return on assets (ROA) and shareholder dispersion partial evaluation and simultaneously to predict dividend policy to companies manufacturing industry which is listed on the Bursa Efek Indonesia. The sample collection by using purposive sampling method of sample and obtained 10 companies. The method of analysis data used a liniear regression analysis worship of idols with the level of significance 0.05. The research results show that: (1) the rate of growth of the company have a negative influence and significance 0.038. (2) ROA it has some positive effects and significance against its policies with a value of dividend t count 4,827 and value of significant 0,000. (3) shareholder dispersion have a negative influence and significant against its policies with a value of dividend t count -3,420 and value of significant 0.002. (4) the rate of growth of the company, return on assets (ROA), shareholder dispersion in together influential positive and significant for policies with the value of dividend f count 16,089 significance and value 0.000.
PENGARUH KEPEMILIKAN MANAJERIAL DAN KEPEMILIKAN INSTITUSIONAL TERHADAP KEBIJAKAN HUTANG PERUSAHAAN DALAM PERSPEKTIF AGENCY THEORY Elva Dian Pertiwi; Aftoni Sutanto
Jurnal Fokus Manajemen Bisnis Vol. 4 No. 2 (2014)
Publisher : Universitas Ahmad Dahlan

Show Abstract | Download Original | Original Source | Check in Google Scholar | DOI: 10.12928/fokus.v4i2.1360

Abstract

This study aimed to determine the effect of managerial ownership and institusional ownership as well as the control variabel is profitability, firm size, asset structure, against debt policy. The population in this is a property and real estate company listing on the Stock Exchange in 2010-2013. Purposive sampling with sampling to obtain a sample of 10 property and real estate using purposive sampling to obtain a sample of 10 companies and real estate properties companies. Data collection is done by the method of documentation. The analytical method used is multiple linear regression analysis. With the influence that occurs between mangerial ownership and institusional ownership variable control of the debt policy on property and real estate companies on the Stock Exchange, the company should reduce the proportion of debt financing in order to reduce financial distress because the funding of corporate debtscauses financial distress and agency cost is greater than the tax saving from the burden of debt interest, consequently the company highly vulnerable to economic shock.
PENGARUH PROFITABILITAS, CAPITAL ADEQUACY RATIO DAN DIVERSIFIKASI PENDAPATAN TERHADAP RISIKO BANK (Studi pada Perusahaan Perbankan yang Terdaftar di Bursa Efek Indonesia) Ulan Lestiana Putri; Risal Rinofah; Mujino Mujino
Jurnal Fokus Manajemen Bisnis Vol. 10 No. 1 (2020)
Publisher : Universitas Ahmad Dahlan

Show Abstract | Download Original | Original Source | Check in Google Scholar | DOI: 10.12928/fokus.v10i1.1419

Abstract

The research aims to determine the influence of profitability, Capital Adequacy Ratio and revenue diversification against the risk of Bank. This study used case study on the banking companies and used the banks listed on the Indonesia Stock Exchange (IDX) in period 2014-2018 as the population. The research used purposive sampling technique.The data analysis techniques used statistical descriptive test, classical assumption testing (normality test, autocorrelation test, multicolinearity test, and heteroskedasticity test). Hypothesis testing used multiple linear regression analysis. The data quality testing used T test, F test and determination test. The results showed that profitability, Capital Adequacy Ratio partially had a negative and significant influence on the bank risk, while the revenue diversification had a positive influence on the bank risk. Simultaneously, the profitability, CAR and diversification of revenues had a significant influence on the bank risk.
PENGARUH KOMPOSISI PENGELOLA PERUSAHAAN TERHADAP KINERJA KEUANGAN (Studi pada Badan Usaha Milik Negara yang Terdaftar di Bursa Efek Indonesia) Meyzia Irestia Putri; Mujino Mujino; Risal Rinofah
Jurnal Fokus Manajemen Bisnis Vol. 10 No. 1 (2020)
Publisher : Universitas Ahmad Dahlan

Show Abstract | Download Original | Original Source | Check in Google Scholar | DOI: 10.12928/fokus.v10i1.1425

Abstract

This study aims to examine the effect of the composition of company managers on financial performance. The composition of the company management is proxied by using the number of independent commissioners, the board of commissioners, and the board of directors. The company's financial performance is measured by profitability ratios, namely Return On Investment (ROI). The population in this study are companies that are included in the State Owned Enterprises (SOEs) listed on the Indonesia Stock Exchange (BEI) in 2010-2018.The sample selection technique used purposive sampling method. Based on the criteria that have been determined, 8 companies chosen as sample. The type of data used are secondary data in the form of annual reports and financial statements. Data analysis technique used multiple linear regression analysis.The results of this study showed that simultaneously, independent commissioner, board of commissioner, and board of directors have a significant effect on ROI. Partially, independent commissioner, audit committee, board of commissioner, and board of directors has positive and significant effect on ROI. While another Good Corporate Governance proxy, which are the audit committee and board of directors  have a positive effect but not significant on ROI.
PENGARUH KEPEMIMPINAN TRANSFORMASIONAL, DISIPLIN KERJA DAN KOMITMEN ORGANISASI TERHADAP KINERJA PEGAWAI (Studi pada Balai Pelestarian Cagar Budaya DIY) Heny Septianingsih; Kusuma Chandra Kirana; Didik Subiyanto
Jurnal Fokus Manajemen Bisnis Vol. 10 No. 1 (2020)
Publisher : Universitas Ahmad Dahlan

Show Abstract | Download Original | Original Source | Check in Google Scholar | DOI: 10.12928/fokus.v10i1.1462

Abstract

The objective of the researcher is to examine the variables of transformational leadership, work discipline and organizational commitment to employee performance at the DIY Preservation Hall. The population in this study were employees of the DIY Conservation Center. Sampling using Slovin formula (Sugiyono, 2011: 87), sampling technique using stratified random sampling method with 75 respondents.Data analysis techniques using classical assumption testing: normality test, multicollinearity test, heteroscedasticity test, autocorrelation test. Hypothesis testing using the T test, F test, coefficient of determination R2, beta coefficient of standardization. The results showed that the Transformational Leadership variable had a significant positive effect on Employee Performance, Work Discipline had a significant positive effect on employee performance and the presence of organizational commitment had a significant positive effect on employee performance at the Conservation Center DIY.
PENGARUH PERSEPSI GENERASI Y TERHADAP PILIHAN KARIR PADA MAHASISWA PROGRAM STUDI MANAJEMEN UNIVERSITAS AHMAD DAHLAN Adeliyanti Adeliyanti; Rikha Muftia Khoirunnisa
Jurnal Fokus Manajemen Bisnis Vol. 9 No. 1 (2019)
Publisher : Universitas Ahmad Dahlan

Show Abstract | Download Original | Original Source | Check in Google Scholar | DOI: 10.12928/fokus.v9i1.1546

Abstract

This study aims at finding out the influence of the perception of generation Y (consideration of job market, career motivation, family influence, social value of job, and career lifestyle) on career choice in students of Management Study Program of Ahmad Dahlah University. The population of the study was students of Management Study Program of Ahmad Dahlan University of class 2015. The sample collecting technique used was purposive sampling, with a sample critrion of those who took thesis subject with a total og 212 students. The data analysis used in the study was multiple linear regression analysis. The findings of the study show that the career motivation and socual value of the job significantly influenced career choice in students of Management Study Program of Ahmad Dahlan Unversity, while the consideration of job market, family influence and career lifestyle did not significantly influence career choice in students of Management Study Program of Ahmad Dahlan Unversity. Futhermore, through F test, is showed that the consideration of job market, career motivation, family influence the social value of job and career lifestyle simultaneously significantly influenced career choice in students of Management Study Program of Ahmad Dahlan University. The R square calue obtained was 0,772. This, it can be interpreted that the influence contribution of the independent variables (consideration of job market (X1), career motivation (X2), family influence (X3), social value of job (X4) and career lifestyle (X5) on the dependent variable career choice (Y) was 77,2%, while the other 22,8% can be explained by other variables that were not observed in this study.
KUALITAS PRODUK DAN KUALITAS PELANAN SEBAGAI ANTASEDEN KEPUASAN PELANGGAN DALAM MEMBENTUK LOYALITAS PELANGGAN (Studi Pada Pelanggan Waroeng Spesial Sambal “SS” Cabang Veteran Yogyakarta) Alo Rahmawati Mulyana; Hendro Setyono
Jurnal Fokus Manajemen Bisnis Vol. 9 No. 1 (2019)
Publisher : Universitas Ahmad Dahlan

Show Abstract | Download Original | Original Source | Check in Google Scholar | DOI: 10.12928/fokus.v9i1.1547

Abstract

 The aim of study is to  analyze about effect  product  quality  and  service  quality  on customer’s satisfaction to build customer’s loyalty at Waroeng Spesial Sambal “SS” in the branch of Veteran Yogyakarta. Population in this study are all consumers who make  purchases at Waroeng Spesial Sambal “SS” the branch in the  branch of Veteran Yogyakarta. While the sample  in  this  study  is a portion of consumers who have  made  purchases at least twice in the past year. The sampling technique uses purposive sampling. The data  used in this study is primary data. The number  of studies  in  this  study were  sixty  samples  in  the  city of Yogyakarta which  were processed  using  multiple linear regression  analysis  and mediation analysis  using SPSS 20 for windows. The results of the analysis in this study are: product quality dosen’t have a significant effect on customer satisfaction,  service quality has a significant effect on customer satisfaction, customer satisfaction doesn’t have a significant effect on customer loyalty, product quality  dosen’t  have a significant  effect on  customer loyalty and service quality has a significant effect on customer loyalty of the two independentvariables dosen’t indicate a mediating  relationship  with  customer  satisfaction as a mediator variable.