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Jurnal Manajemen Teknologi
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Core Subject : Science,
Jurnal Manajemen Teknologi merupakan salah satu publikasi ilmiah yg diterbitkan oleh SBM ITB, dalam kerangka untuk mendorong pengembangan praktik dan teori manajemen di Indonesia melalui penyebarluasan temuan-temuan hasil riset di bidang sains dan kasus manajemen. Jurnal ini dikenal secara luas dikalangan praktisi dan akademisi di Indonesia sebagai 'The Indonesian Journal for the Science of Management' yang mencakup bidang-bidang antara lain: Knowledge and People Management, Operations and Performance Management, Business Risk, Finance and Accounting, Entrepreneurship, Strategic Business and Marketing and Decision Making and Strategic Negotiation. Jurnal Manajemen Teknologi ( ManTek ) sudah terakreditasi "B" berdasarkan Keputusan Direktur Jendral Pendidikan Tinggi, Departemen Pendidikan Nasional Nomor: 81/DIKTI/Kep/2011. Masa Berlaku 5 (lima) tahun sejak tanggal ditetapkan. Dan terindeks oleh Indonesian Publication Index (IPI), Google Schoolar. Print ISSN: 1412-1700; Online ISSN: 2089-7928
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Articles 7 Documents
Search results for , issue "Vol 8, No 2 2009" : 7 Documents clear
Volatility Spillover between Stock Market and Foreign Exchange Market in Indonesia Wiryono, Sudarso Kaderi; Widjonarko, Yohanes Edward
Jurnal Manajemen Teknologi Vol 8, No 2 2009
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Abstract

Foreign exchange rate risk is one the market risk factors that effects investments. Understanding the foreign exchange risk exposure of each sector is necessary to set foreign exchange risk management. This paper examines the volatility spillover effect between the stock market and foreign exchange rate market. The significant volatility spillover existence is an evident that the volatility in one market affects the volatility in the other market. This research used EGARCH volatility spillover model developed by Malhotra, Niranjan, and Swain (2007) in India’s study case. The model is applied to examine the volatility spillover of foreign exchange market toward each sector indices in Indonesia. The findings of the research are that USD/IDR fluctuation gives the most significant exposure to Indonesian stock market’s of JSX indices as well as on the majority sectors, followed by JPY/IDR fluctuation and EUR/IDR fluctuation, while GBP/IDR does not give a significant volatility spillover toward the sector. Most sectors also have a different exposure one another so different focus of foreign exchange risk management is needed.Keywords: foreign exchange risk, volatility spillover, risk management
Studi Literatur tentang Komersialisasi Teknologi di Perguruan Tinggi: Proses, Potensi, Model dan Aktor Nasution, Reza Ashari; Juanda, Dadan; Rachmah, Rifa
Jurnal Manajemen Teknologi Vol 8, No 2 2009
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Abstract

Perguruan tinggi (PT) merupakan lembaga yang utama dalam inovasi teknologi, namun kurang mampu dalam memanfaatkan inovasi tersebut untuk tujuan komersial. Kendala utamanya adalah kurangnya pemahaman mengenai proses komersialisasi teknologi, cara menilai potensi komersialisasi sebuah teknologi, model-model yang bisa dilakukan dan factor-faktor yang mempengaruhi keputusan pemilihan sebuah model. Tulisan ini memuat hasil studi literature terkini mengenai komersialisasi teknologi dan wawancara dengan pihak yang relevan dalam pengembangan dan komersialisasi teknologi di Institut Teknologi Bandung untuk memberikan mengenai bagaimana melakukan hal-hal diatas.Perguruan tinggi, inovasi, komersialisasi teknologi, model dan factor komersialisasi teknologi, Institut Teknologi Bandung
Decision Analysis of Airbrake Midterm Production Planning at the Machining Department, PT 'X' Bandung Yudoko, Gatot; Diaz, lqsan
Jurnal Manajemen Teknologi Vol 8, No 2 2009
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Abstract

PT 'X' Bandung is a state-owned companies and one of its products is vehicle. One of the important subassemblies of the vehicle is the airbrake. This paper is aimed finding and selecting feasible midterm production plan alternatives for the Machining Department for the production of air brake for the upcoming scheduled three consecutive periods, namely period 1 (12 days), period 2 (12 days), and period 3 (27 days) using decision-making methodology base on Hayes et al., consisting of evaluating the existing capacity to meet orders, defining alternatives for meeting those likely orders, performing financial analysis of each alternative, assessing key criteria or key issues for each alternative, and selecting and defending the alternative to be pursued. We calculated that the existing capacity was insufficient to meet the orders, and therefore,we developed four alternatives. The first alternative was trying to meet the demand using the available resources by accepting the lateness in which penalty costs would have to be calculated based on the contract agreement. The second alternative was adding capacity through overtime and in this regard the overtime costs would be calculated. The Thrid alternative was adding capacity by purchasing new machines in which capital required would be calculated. And the last alternative was a mix of overtime and the addition of new machines and the related costs would be calculated as well. The alternative with the least cost would be selected. Based on our analysis using two criteria, namely compliance to schedule and costs, we conclude that the last alternative is the best production plan for the company in meeting the demand of airbrake for the upcoming three periods.Keywords: midterm production planning, decision making methodology, airbrake
The Role of Emotion in Elimination of Contribution and Collaboration Dilemma in Citarum River Basin Problem Putro, Utomo Sarjono; Siallagan, Manahan; Novani, Santi; Utomo, Dhanan Sarwo
Jurnal Manajemen Teknologi Vol 8, No 2 2009
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Abstract

The purposes of the current research are to identify, analyze and simulate the dynamics of interaction and conflicts among agents using drama theory in Citarum river basin problem. To accomplish these purposes, we crate a simulation model that combine drama theory and emotional state model (PAD model). Drama theory was adopted because it able to describe dilemmas and paradox arising from rational goal seeking behavior. It also provides us with rigorous analytical and computational tools for conflict analysis. Our previous model was able to recognize and solve confrontation dilemmas, i.e., persuasion and rejection dilemma among the agents. In this paper, we propose an enhanced simulation model that is able to recognize and solve collaboration dilemmas (trust dilemma) among the agents. In order to obtain some fruitful suggestions for encouraging agent’s collaboration, we product agent-based simulation using SOARS (Spot Oriented Agent Role Simulator).Keywords: Agent based Simulation, Negotiation, Dilemma, Drama Theory, Emotion
Investigating the Transcription and Translation's Issues for an Australian PhD Conducting Intervews in Bahasa Indonesia Thoha, Nurianna
Jurnal Manajemen Teknologi Vol 8, No 2 2009
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Abstract

This paper discusses the issue of interviewing in a language other than English for a PhD study in an Australian University. The particular case of interviewing in Bahasa Indonesia language is discussed. The research paradigm is interpretive and the methodology is qualitative. This leads to the key issue of interpreting interviewees’ constructed meaning within one language and then through a process of translation providing an interpretation of meaning in a second language which remains ‘true’ to the original meaning offered by participants. The date were collected from seven large Indonesian Companies by using semi-structured interview which gave respondent the opportunity to tell their stories based on their own experiences because this study follows the tradition of ‘giving voice’ to respondents. Eight-eight interviews were conducted in Bahasa Indonesia and were recorded. All Eight-eight interviews were personally transcribed by the researcher. This ensured confidentially and allowed the researcher to get close to the data which facilitated sorting, coding and analysis. The transcription process involved an interpretive translation process from Bahasa Indonesia to English requiring extensive local knowledge not easly available to western researchers. The focus of this paper is on the difficulties that emerged during the transcription process since it involved a translation from Bahasa Indonesia to English. Because of different language structure between Bahasa Indonesia and English, a conscious research decision was made to create the second language translations as what I have termed ‘Bahasa English’. This hybrid language used English but with the nuances and language flow of Bahasa Indonesia. Other challenges were encountered during the analysis stage, with include not all Bahasa Indonesia word’s can be translated to English, and there are some terms that are used differently in Bahasa Indonesia and in English. The need to develop a sound basis with English-only speaking supervisors led to the development of some analysis strategies which will be reported in this paper.Keywords: transcription, translation, English, Bahasa Indonesia
Grand Theory Model Kualitas Strategi ., Widodo
Jurnal Manajemen Teknologi Vol 8, No 2 2009
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Abstract

Pada umumnya suatu organisasi baik profit maupun non profit memiliki strategi. Namun berdasarkan studi empiris strategi yang dimiliki sebagaian besar tidak menunjukkan peningkatan kinerja organisasi. Hal tersebut berkaitan dengan kualitas strategi, kualitas strategi tercermin dengan perencanaan, implementasi dan evaluasi strategi yang berkualitas. Oleh karena itu artikel ini bertujuan menelaah bagaimana mengembangkan grand theory model atau model teoritikel dasar kualitas strategi yang mencakup proposisi pertama tentang pembelajaran organisasional, proposisi kedua tentang asset strategi dan proposisi ketiga tentang kualitas strategi. Studi empiris menunjukkan bahwa terdapat beberapa kontroversi (research gap) pada model perencanaan strategi, implementasi strategi dan evaluasi strategi. Oleh karena area tersebut merupakan agenda penelitian mendatang yang sangat menarik untuk peningkatan kinerja organisasi.Katakunci: kualitas strategi, perencanaan strategi, implementasi strategi dan evaluasi strategi, kinerja organisasi.
PENGUJIAN MODEL OPSI GARCH UNTUK PENENTUAN HARGA PREMI OPSI SAHAM KETIKA BARRIER DIBERLAKUKAN DI BURSA EFEK INDONESIA Hendrawan, Riko; Haruman, Tendi
Jurnal Manajemen Teknologi Vol 8, No 2 2009
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Abstract

The purpose of this research is to test the accuracy of GARCH Option Model for pricing stock option contract on Astra International, BCA, Indofood and Telkom when barrier is exist at The Indonesia Stock Exchange. Utilizing intraday stock movement and stock option contract data, simulation is conducted using actual data. To test the accuracy of GARCH Option Model, average percentage mean squared error is used to compare simulated premium with its payoff at its maturity date. The finding from this research are one month option average percentage means suared error of GARCH Option Model is three point fifty one percent, two month option is six point sixty one and three month option is seven point sevently nine percent.Katakunci: ARIMA, Derivative, Stock Option Contact, Barrier Option, GARCH Option Model, Indonesia Stock Exchange

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