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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 444 Documents
ANALISIS FAKTOR-FAKTOR YANG MEMPENGARUHI INDEKS HARGA SAHAM GABUNGAN DI BURSA EFEK INDONESIA PERIODE Purwaningsih, Dwi; Sulistiyani, Tina
Jurnal Fokus Manajemen Bisnis Vol 5, No 1 (2015)
Publisher : Universitas Ahmad Dahlan

Show Abstract | Download Original | Original Source | Check in Google Scholar | DOI: 10.12928/fokus.v5i1.1612

Abstract

This study aims to determine the effect of the money supply, inflation, and SBI interest rates partially and simultaneously on the composite stock price index on the Indonesia Stock Exchange (BEI) in 2012-2014, the type of data and data sources used in this study are data secondary data from the Bank Indonesia Annual Report, the Indonesian Ministry of Trade Institute, and Exchange Corner Financial Data. To analyze the data of this study used a multiple linear regression analysis tool that aims to determine the effect of the money supply, inflation, and SBI interest rates on the Composite Stock Price Index using SPSS statistical tools. Based on this research, the research method used in the first hypothesis is the Statistical t test and the second is the Statistical F test. Based on the results of this study indicate that the variable Money Supply has a significant effect on the Composite Stock Price Index. For the inflation variable does not have a significant effect on the Composite Stock Price Index. And the SBI Interest Rate variable has a significant effect on the Composite Stock Price Index. Together these three independent variables (Amount of Money Supply, Inflation, SBI Interest Rates) have a significant influence on the dependent variable (Composite Stock Price Index).
ANALISIS PENGARUH CASH POSITION, DEBT TO EQUITY RATIO, DAN RETURN ON ASSETS TERHADAP DIVIDEND PAYOUT RATIO PADA PERUSAHAAN MANUFAKTUR YANG TERDAFTAR DI BEI Gustian, Hedi; Bidayati, Utik
Jurnal Fokus Manajemen Bisnis Vol 1, No 1 (2011)
Publisher : Universitas Ahmad Dahlan

Show Abstract | Download Original | Original Source | Check in Google Scholar | DOI: 10.12928/fokus.v1i1.1294

Abstract

This study is performed to examine the effect of Cash Position, Debt to Equity Ratio (DER), Return on Assets (ROA), and toward Dividend Payout Ratio (DPR) in companies that is listed in Indonesian Stock Exchange over period 2006-2008.The population of this research is 387 company that listed in Indonesian Stock Exchange period 2006-2008. Sampling technique used here is purposive sampling on criterion (1) the company that represent their financial report per 2006-2008, and (2) the company that continually share their dividend period 2006-2008. The data is obtained based on Indonesian Capital Market Directory (ICMD 2009) publication. It is gained sample amount of 12 companies. The analysis technique used here is multiple regression with the least square difference and hypothesis test using t-statistic to examine partial regression coefficient and F-statistic to examine the mean of mutual effect with level of significance 5%.This research results that Cash Position, Debt to Equity Ratio, and (DER) Return on Asset (ROA) gives are not significantly positive effect on dividend payout ratio (DPR). We suggest for investors in Indonesian Stock Exchange whose purpose to gain dividend should be pay attention for informations that issued by the company, because with those information they can make the best decision for their investments. On this research, Return On Asset (ROA) shows the most influencing variable toward DPR that pointed by the amount of beta standardized coefficients value 1,130, DER are 0,096, and Cash Position are 0.030
ANALISIS PENGARUH SENSUAL MARKETING TERHADAP MINAT BELI PADA PRODUK CLOTHING LINE “BERAK” DI INSTAGRAM Pratama, Jimmy Ary; Adhilla, Fitroh
Jurnal Fokus Manajemen Bisnis Vol 6, No 2 (2016)
Publisher : Universitas Ahmad Dahlan

Show Abstract | Download Original | Original Source | Check in Google Scholar | DOI: 10.12928/fokus.v6i2.1664

Abstract

This research is to find out whether there is a significant influence between sensual marketing strategies that are triggered by a model, body language, and nature how to communicate with buying interest in "Shit" clothing line products in the media instagram, both partially and simultaneously. The population of this research is the students of private universities in the city Yogyakarta has never seen a display of defecated Instagram. Samples in research this amounted to 80 respondents where the determination using accidental techniques sampling and purposive sampling. Testing using statistical tests multiple linear regression analysis. Partially, the statistical test used is a test t and simultaneously using the F test. Data collection techniques with questionnaire distribution. As for testing the instrument uses test validity and reliability. From the analysis it can be concluded that partially sensual strategy marketing which consists of model, body language, and method variables communicating significantly. Whereas simultaneously the strategy sensual marketing also has a significant influence on buying interest.
ANALISIS PERBANDINGAN KINERJA KEUANGAN BANK MUAMALAT INDONESIA DAN BANK SYARIAH MANDIRI Suryani, Ema Dwi; Fitriani, Dyah
Jurnal Fokus Manajemen Bisnis Vol 3, No 1 (2013)
Publisher : Universitas Ahmad Dahlan

Show Abstract | Download Original | Original Source | Check in Google Scholar | DOI: 10.12928/fokus.v3i1.1333

Abstract

The purpose of this study was to assets the financial performance of Bank Muamalat Indonesia in 2010-2014, assets the financial performance of Bank Syariah Mandiri in 2010-2014, to know is there any difference in the performance of Bank Muamalat Indonesia and Bank Syariah Mandiri in 2010-2014. This data source which used are secondary data in the form of financial statements of the company obtained from the publication of Bank Indonesia. Data analysis was performed using analysis of financial ratios of capital adequacy ratio, asset quality ratios, profitability ratios and liquidity ratios. The method used to compare the performance of Bank Muamalat Indonesia with Bank Syariah Mandiri is using the test independent sample t test. Based on the calculation of independent sample t test showed that for each ratio is the ratio Provision of Minimum Capital Adequacy Ratio (CAR), the ratio of asset quality (KAP), the ratio of Net Operational Margin (NOM) and the ratio of Short Term Mismatch (STM) there was no difference in financial performance significantly between Bank Muamalat.
ANALISIS PENGARUH LIKUIDITAS, PROFITABILITAS, LEVERAGE, OPERATING CAPACITY, DAN BIAYA AGENSI MANAJERIAL TERHADAP FINANCIAL DISTRESS Pawitri, Arsinda Inggar; Alteza, Muniya
Jurnal Fokus Manajemen Bisnis Vol 10, No 2 (2020)
Publisher : Universitas Ahmad Dahlan

Show Abstract | Download Original | Original Source | Check in Google Scholar | DOI: 10.12928/fokus.v10i2.2443

Abstract

The aim of this study was to determine the effect of liquidity, profitability, leverage, operating capacity, and managerial agency costs on financial distress in manufacturing companies listed on Indonesia Stock Exchange. The research period used was 2015-2017. The type of this research was associative causal with quantitative approach. The population of this study includes all manufacturing companies listed on Indonesia Stock Exchange. The sampling technique used was purposive sampling, and obtained as many as 84 companies, consists of 42 companies that experienced financial distress, and 42 companies that didn’t experience financial distress as comparison company. Data analysis conducted through logistic regression. Based on this research, it was concluded that liquidity proxied by current ratio had no effect to financial distress. Profitability proxied by return on asset had no effect on financial distress. Leverage proxied by debt to asset ratio had a significant and possitiveeffect on financial distress. Operating capacity proxied with total asset turnover had no effect on financial distress. Managerial Agency costs had no effect on financial distress. The Nagelkerke R Square’s score in this study was 0.491 which means that the ability of liquidity, profitability, leverage, operating capacity, and managerial agency were able to explain the variable of financial distress condition by 49.1%. The remaining of 50.9% dependent variables were explained by other factors outside the model.
PENGARUH PROMOSI, HARGA DAN KUALITAS PRODUK TERHADAP KEPUTUSAN PEMBELIAN SMARTPHONE VIVO PADA MASYARAKAT KOTA YOGYAKARTA Prawira, Endy Yudha; Sukardi, Sukardi
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.v9i1.1550

Abstract

This study aims to determine the effect of promotion, price, and product quality for Smartphone purchase decisions VIVO The population of this research is the consumers of the city community Yogyakarta which is more than 17 years old and has already been make purchases of VIVO Smartphone products and samples used as many as 95 consumers in Yogyakarta, community engineering Sampling in this study is Purposive Sampling. The data analysis tool used is a linear regression test multiple. The results of this study indicate that promotions and Product quality has a significant effect on purchasing decisions while the price does not significantly influence the decision purchase. Simultaneously promotion, price, and quality variables significant effect on purchasing decisions. Promotion factor, price, and product quality affect purchasing decisions of 24.1% while the remaining 75.9% is influenced by Other variables that are not present in this study. Researchers expected can test variables other than product promotion, price, and quality to make a purchase decision.
ANALISIS FAKTOR-FAKTOR YANG MEMPENGARUHI EKSPOR SARANG BURUNG DI INDONESIA Harapuspa, Annisa; Fitriani, Dyah
Jurnal Fokus Manajemen Bisnis Vol 8, No 2 (2018)
Publisher : Universitas Ahmad Dahlan

Show Abstract | Download Original | Original Source | Check in Google Scholar | DOI: 10.12928/fokus.v8i2.1587

Abstract

Indonesia is a country rich in natural resources and with a wealth of this nature, Indonesian people are able to get care from nature. Indonesia is the largest swallow nest producer in the world, with an average production of 500-600 tons (2011 period). The purpose of this study was to find out the factors of Indonesian bird nest exports to China. SWOT is the analytical method used in this study. Strategic planning methods are used to evaluate strengths, weaknesses, opportunities, and threats in a project or business speculation. A target pattern of structure that is mutually supportive and complementary leads to a comprehensive goal. As preparation for planning, in order to be able to choose and set strategies and objectives so that programs and projects are arranged that are effective and efficient. The results of the analysis using SWOT show that the strategy can be applied by swallow nest breeders in Indonesia is a strategy that uses the power to take advantage of opportunities and instead take advantage of opportunities and make them a force. This strategy uses the company’s internal strength to take advantage of external opportunities. Swallow nest farmers can use the strategy of previous breeders who have exported swallow nest products by fixing some weaknesses and avoiding or surviving against the threat of the company by creating a more competitive strategy.
PENGARUH KEPEMIMPINAN, INSENTIF, DAN LINGKUNGAN KERJA TERHADAP LOYALITAS KARYAWAN ADMINISTRATIF KANTOR FAKULTAS DI UNIVERSITAS AHMAD DAHLAN YOGYAKARTA Khoyrun, Huda; Bidayati, Utik
Jurnal Fokus Manajemen Bisnis Vol 6, No 1 (2016)
Publisher : Universitas Ahmad Dahlan

Show Abstract | Download Original | Original Source | Check in Google Scholar | DOI: 10.12928/fokus.v6i1.1655

Abstract

This study aims to determine the effect of leadership, incentives and work environment both partially and jointly on the loyalty of the administrative staff of the Faculty office at Ahmad Dahlan University, Yogyakarta. This research is a quantitative research. Data collection using a questionnaire method (questionnaire) that has been tested for validity and reliability, while data analysis is done using multiple linear regression analysis. The sample of this study was all administrative employees in all faculties at Ahmad Dahlan University, amounting to 60 employees with sample collection techniques using saturated samples, so the sample size in this study amounted to 60 employees. The results showed that: 1) Leadership has a significant effect on employee loyalty, this is indicated by the results of the t test of 3.123 with a significance of 0.003. 2) Incentives have a negative and significant effect on employee loyalty, this is indicated by the results of t count of -2,378 with a significance of 0.021. 3) The work environment has no effect on employee loyalty. 4) Leadership, incentives and work environment together have a significant effect on employee loyalty, this is indicated by an F count of 3.647 with a significance of 0.0.018 with a regression equation Y = -2.315 + 0.432X1-0.333X2 + 0.099X3 + e. With a large effect of 0.16.3%, while the remaining 83.7% is influenced by other independent variables that are not observed.
PENGARUH MOTIVASI INTRINSIK TERHADAP PRESTASI KERJA KARYAWAN BATIK NAKULA SADEWA SLEMAN YOGYAKARTA Armansyah, Armansyah; Fitriani, Dyah
Jurnal Fokus Manajemen Bisnis Vol 2, No 2 (2012)
Publisher : Universitas Ahmad Dahlan

Show Abstract | Download Original | Original Source | Check in Google Scholar | DOI: 10.12928/fokus.v2i2.1324

Abstract

Current research aimed to investigate the effect of intrinsic motivation (the achievements, recognition of others, the work, opportunities to growth, responsibilities) both, partially and simultaneously  employee’s performance. Respondent in this study were 35 employees of Nakula Sahadewa Sleman Yogyakarta Batik. This research used saturated techniques sampling. Analysis tool used in this research were multiple regression analysis, F test and t test. The results proved that intrinsic motivation simultaneously (F test) has a positive effect on emlpoyees performance. Whereas the t test showed that partially peconition of other, work, and responsibility employees has no significant effects on performance. Only achievement and oportunity to growth has significant effects on employees performance
PENGARUH LIKUIDITAS (CURRENT RATIO) TERHADAP RETURN SAHAM: PERAN PEMEDIASI PROFITABILITAS (RETURN ON EQUITY) PADA PERUSAHAAN SUB SEKTOR KONSTRUKSI BANGUNAN DI BURSA EFEK INDONESIA PERIODE 2016-2018 Hidayat, Taufik
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.v10i1.1827

Abstract

This study aims to determine the effect of the liquidity ratio (CR) on stock returns with the role of profitability (ROE) as a mediator. This study takes the object of building construction sub-sector companies listed on the Indonesia Stock Exchange for the period of 2016-2018. The population in this research is all companies in the building construction sub sector listed on the Indonesia Stock Exchange in the 2016-2018 period as many as 17 companies. The sampling technique uses purposive sampling using several criteria, namely the building construction sub-sector companies listed on the Indonesia Stock Exchange in the 2016-2018 period, companies that submit financial reports during the research period and companies that have positive net income reports. The number of samples that fit the criteria were 10 companies. The data analysis tool uses panel data regression analysis using Eviews 6. The results of the study show that the current ratio has a negative effect on stock returns, the current ratio has a positive effect on return on equity, return on equity has a negative effect on stock returns.

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