cover
Contact Name
Rizki Fakhrowan
Contact Email
rizki.fakhrowan@feb.unmul.ac.id
Phone
+6281347230406
Journal Mail Official
jimm.feb@gmail.com
Editorial Address
Jl.Tanah Grogot No.1 Samarinda Kalimantan Timur Indonesia
Location
Kota samarinda,
Kalimantan timur
INDONESIA
Jurnal Ilmu Manajemen Mulawarman (JIMM)
Published by Universitas Mulawarman
ISSN : -     EISSN : 27153789     DOI : http://dx.doi.org/10.30872/jimm.v1i1
Core Subject : Economy,
Publikasi artikel hasil penelitian bidang Ilmu Manajemen Terbit 4 kali dalam 1 tahun Diterbitkan oleh Fakultas Ekonomi dan Bisnis Unmul
Articles 11 Documents
Search results for , issue "Vol 1, No 3 (2016): September" : 11 Documents clear
Pengaruh Proses Rekrutmen Proses Seleksi dan Kompetensi Karyawan terhadap Kinerja Karyawan pada Bank Kaltim Samarinda Freddy Tumbuan Pasaribu; Yonathan Pongtuluran; Doddy Adhimursandi
Jurnal Ilmu Manajemen Mulawarman (JIMM) Vol 1, No 3 (2016): September
Publisher : Fakultas Ekonomi Dan Bisnis Universitas Mulawarman

Show Abstract | Download Original | Original Source | Check in Google Scholar | DOI: 10.29264/jimm.v1i3.722

Abstract

This research aim to analyze the influence of recruitmen selection process and competence of employees on employee performance by using multiple regression analyze. Population in this research were  employees with  a population  using methods accidental in the  research 57  respondents.  The hypotesis  of  this  research  indicate  that  the  recruitmen  process  variable  selection  process  and competencies  of  employees  simultaneously  positive  and  significant  effect  in  the  perfomance  of employees at Bank Kaltim Samarinda. The calculation result standardized coefficients indicate more dominant recruitmen process variable effect the performance of employees samarinda.R and R Square result show that the level of relations with the variabel employee performance is moderate.Keyword:   Influence  the  Process  of  Recruitmen  Selection  Process  and  Competencies  to Employee Performance
Pengaruh Kinerja Keuangan dan Manajemen Risiko terhadap Return Saham di Bei Susri Eka Marselina; F. Defung; Maryam Nadir
Jurnal Ilmu Manajemen Mulawarman (JIMM) Vol 1, No 3 (2016): September
Publisher : Fakultas Ekonomi Dan Bisnis Universitas Mulawarman

Show Abstract | Download Original | Original Source | Check in Google Scholar | DOI: 10.29264/jimm.v1i3.771

Abstract

Objective of this study was to examine the effect of financial performance and risk management to return stock at PT. Telekomunikasi Indonesia Tbk. The financial performance is measured by debt to equity ratio (DER), return on equity (ROE), total asset turnover (TATO), and interest rate (IR).Sample of research is PT. Telekomunikasi Indonesia Tbk listed on the Indonesia Stock Exchange (BEI) in the period 2006-2015. Collecting data this study uses secondary data obtained from websate. This study uses SPSS to analyze the data analysis.The results showed that the TATO and IR negative effect, but the DER and ROE does not negatively affect stock return. Overall, the researchers found that some of the most high risk and impact of the likelihood that the risks associated with Indonesia as well as risks related to the business of PT. Telkom. As an alternative actions that can be done by PT. Telkom to address these risks is to reduce risk.Keywords: Debt to equity ratio (DER), return on equity (ROE), total asset turnover (TATO), risk management, stock returns. 
Pengaruh Brand Image dan Brand Trust terhadap Brand Loyalty Astra Honda Motor pada Nirmala Motor Samarinda Anisa Nurulita; Gusti Noorlitaria; Asnawati Asnawati
Jurnal Ilmu Manajemen Mulawarman (JIMM) Vol 1, No 3 (2016): September
Publisher : Fakultas Ekonomi Dan Bisnis Universitas Mulawarman

Show Abstract | Download Original | Original Source | Check in Google Scholar | DOI: 10.29264/jimm.v1i3.727

Abstract

This study aims to identify and analyze the effect of Brand Image and Brand Trust jointly (simultaneously) to Brand Loyalty Astra Honda Motor and identify and analyze the variables that affect the dominant Brand Loyalty Astra Honda Motor By NIRMALA MOTOR Samarinda, using linear regression analysis regression. The results showed regression coefficient has a positive sign, which means that if the values of two variables Brand Image and Brand Trust increases or increases, it will be able to improve on Brand Loyalty Astra Honda Motor By NIRMALA MOTOR Samarinda. this is evidenced by the R value of 0.622 means that there is a strong relationship of variable Brand Image and Brand Trust on the Brand Loyalty. The coefficient of determination (R2) of 0.386 or 38.60%, this shows the proportion of variable contribution Brand Image and Brand Trust to fluctuations Brand Loyalty. The rest was influenced by variables outside the research. Simultaneously prove that the variable Brand Image and Brand Trust effect on Brand Loyalty. This is evidenced from the calculation of the F test (simultaneous) obtained value of F Ftable. This means that the variable Brand Image and Brand Trust jointly (simultaneously) influence on Brand Loyalty Astra Honda Motor By NIRMALA MOTOR Samarinda. Thus the first hypothesis is proven correct or acceptable. The results of the partial test of the two variables Brand Image and Brand Trust on the Brand Loyalty the dominant influence is variable Brand Image this is evidenced by the value of the standardized coefficients (beta) Brand Image variable that is larger than the standardized coefficients (Beta) for variable Brand Trust. Thus the second hypothesis in this study proved to be true or acceptableKeywords: Brand Image and Brand Trust and Brand Loyalt
Pengaruh Variabel Fundamental terhadap Struktur Modal (Studi pada Perusahaan Makanan dan Minuman yang Go-Public di Indonesia) Siti Rahmah; Ardi Paminto; Irsan Tricahyadinata
Jurnal Ilmu Manajemen Mulawarman (JIMM) Vol 1, No 3 (2016): September
Publisher : Fakultas Ekonomi Dan Bisnis Universitas Mulawarman

Show Abstract | Download Original | Original Source | Check in Google Scholar | DOI: 10.29264/jimm.v1i3.775

Abstract

This study discussed the Influence of Fundamental Variables which measured by Basic Earning Power, Firm Size, Fixed Asset Ratio, and Non-Debt Tax Shield against Capital Structure as measured by Debt to Equity Ratio in Food and Beverage Company that listed in Indonesia Stock Exchange in 2012- 2014. The data used in this research is secondary data obtained from the official website of the Indonesian’s Stock Exchange. The analytical method used in this research is Multiple Regression Analysis, Classical Assumption Test (Test Normality, Test Autocorrelation, Test Heterocedastity, and Test Multicollinearity) and Hypothesis Testing (Test The coefficient of determination or R2 and Test Partial or T-test) using SPSS version 21. The selection of the sample procedure is by using purposive sampling with samples that meet the criteria of 11 companies. Based on the results obtained by analysis of partial that the independent variables Basic Earning Power has a significant negative effect on Debt to Equity Ratio, where Fixed Asset Ratio has a significant positive effect Debt to Equity Ratio, also Firm Size and Non-Debt Tax Shield has a positive effect was not significant to the Debt to Equity Ratio on Food and Beverage at the Indonesia Stock ExchangeKeywords: Basic Earning Power, Firm Size, Fixed Asset Ratio, and Non-Debt Tax Shield, Debt to Equity Ratio.
Pengaruh Atribut Supermarket dan Motif Belanja Hedonik terhadap Loyalitas Konsumen pada Supermarket Foodmart Lembuswana Samarinda Slamet Ariyadi; Suharno -; J. Kuleh
Jurnal Ilmu Manajemen Mulawarman (JIMM) Vol 1, No 3 (2016): September
Publisher : Fakultas Ekonomi Dan Bisnis Universitas Mulawarman

Show Abstract | Download Original | Original Source | Check in Google Scholar | DOI: 10.29264/jimm.v1i3.702

Abstract

In this study, researchers used a sample size of between 10-25 times the number of independent variables. Ferdinand (2005: 74). Therefore, based on this formula, the number of samples required in this study is 2 x 25 = 50 respondents. The analytical method used is multiple linear regression analysis. Based on F test Simultaneous, independent variables that attribute supermarket and hedonic shopping motives are jointly (simultaneously) significantly affects the dependent variable that consumer loyalty Foodmart supermarket LembuswanaSamarinda, while based on partial t test (respectively) Independent variables: attribute significant impact supermarket customer loyalty Foodmart supermarket Lembuswana Samarinda and hedonic shopping motives significant effect on consumer loyalty Foodmart supermarket LembuswanaSamarinda.Keywords: Product Quality, Brand Image, Consumer Brand Loyalty
Pengaruh Kompensasi, Kepuasan, dan Lingkungan Kerja terhadap Kinerja Karyawan Departement Contract Maintenance PT. Kaltim Prima Coal Pradigdo Wijayanto; Sukisno S. Riadi; Ariesta Heksarini
Jurnal Ilmu Manajemen Mulawarman (JIMM) Vol 1, No 3 (2016): September
Publisher : Fakultas Ekonomi Dan Bisnis Universitas Mulawarman

Show Abstract | Download Original | Original Source | Check in Google Scholar | DOI: 10.29264/jimm.v1i3.738

Abstract

This study aimed to analyze the Influence of compensation satisfaction, and the Working Environment on employee performance Department Contract Maintenance Pt. Kaltim Prima Coal The study population was all employees at Department Contract Maintenance Pt. Kaltim Prima Coal The number of employees is 60 employees working in the division with samples taken by 59 employees. With simple random sampling method used in this study with questionnaires randomly to the population. Data were collected using a questionnaire to provide a list of direct questions to respondents. Data analysis techniques in this study using multiple regression analysis that operates with SPSS 18 program. The results showed that compensation had significant positive effects on employee performance , satisfaction has a significant positive effect on the performance of employees, and the environment has a significant positive effect on employee performance.Keywords : Compensation, Satisfaction, Work Environment
Strategi Pemasaran Surat Kabar Lokal Kaltim Post di Samarinda Ahmad Arib Billah; Tetra Hidayati; Rahmawati -
Jurnal Ilmu Manajemen Mulawarman (JIMM) Vol 1, No 3 (2016): September
Publisher : Fakultas Ekonomi Dan Bisnis Universitas Mulawarman

Show Abstract | Download Original | Original Source | Check in Google Scholar | DOI: 10.29264/jimm.v1i3.561

Abstract

Developments in technology and information in the present requires the company to further enhance business performance to gain the trust of consumers hearts. The purpose of this study is: To find out how the marketing strategy at Kaltim Post Samarinda. In this study, researchers used a Cartesian diagram analysis tool that consists of four dimensions, namely, product, price, promotion, place. The study of 96 respondents using questionnaire method  Likers Scale. The collected data were analyzed using analytical methods of customer satisfaction, the results of this study indicate that the level of customer satisfaction with the marketing strategies of Kaltim Post Samarinda is between 20-40 which means low satisfaction, namely 31,01. From the comparison of the average performance score and the average score of hope 31,0146,27 indicates that consumers are still not satisfied with the services given.Keywords: Marketing Strategy, Cartesian diagram, Customer Satisfaction
Analisis Pendapatan, Beban Operasional dan Profitabilitas pada PT Samarinda Prima Property Periode Tahun 2013-2015 Yosephine Rose Christianti; F. Defung; Herry Ramadhani
Jurnal Ilmu Manajemen Mulawarman (JIMM) Vol 1, No 3 (2016): September
Publisher : Fakultas Ekonomi Dan Bisnis Universitas Mulawarman

Show Abstract | Download Original | Original Source | Check in Google Scholar | DOI: 10.29264/jimm.v1i3.752

Abstract

In this paper, the rationale is income, operating expenses and profitability. The purpose of this study was to determine how the role of revenue and operating expenses in PT Samarinda Prima Property in generating the company's profit from the year at 2013 to 2015. To analyze the data, the authors used a comparative analysis tool and also trend analysis to see a comparison of revenue and operating expenses each year, and profitability by proxy, net profit margin, operating profit margin, gross profit margin, return on equity and return on assets. From these results, it can be concluded that the Revenue, Operating Expenses and Profitability in PT Samarinda Prima Property in 2013-2015 tended to decrease. Management of Operating Expenses that are not effective and efficient result in instability of the profitability of the company in achieving corporate goals.Keywords: Revenues, Operating Expenses, trend analysis, comparative analysis of return on assets, return on equity, net profit margin, operating profit margin, gross profit margin
Pengaruh Intellectual Capital dan Struktur Kepemilikan terhadap Return On Asset (Roa) Perusahaan Manufaktur di Bursa Efek Indonesia Periode 2010-2014 Dedy Supriyadi; F. Defung; M. Amin Kadafi
Jurnal Ilmu Manajemen Mulawarman (JIMM) Vol 1, No 3 (2016): September
Publisher : Fakultas Ekonomi Dan Bisnis Universitas Mulawarman

Show Abstract | Download Original | Original Source | Check in Google Scholar | DOI: 10.29264/jimm.v1i3.853

Abstract

The Purpose  of  this  study  is  to  analyse  the  relationship  between Intellectual capital using Pulic Models ( Value Added Intellectual capital Coefisien VAICTM) and Ownesrship Structure that are Managerial Ownwership and Institusional ownership on Return on Asset (ROA). Data from this study were obtained from financial statements and annual reports of Manufacturing Companies drawn from the Indonesia stock exchange. The object of this study is Manufacturing Companies listed on Indonesia stock exchange during the years 2010-2014 for 141 Companies. The type of data use are secondary data in the form of annual reports published by Manufacturing Companies. The method of analysis used in this study is multiple regression with SPSS Computer program. The result shows that Value Added Capital Employed (VACA), Value Added Human Capital (VAHU), and Managerial Ownership have positive and significant influence on Return on Asset (ROA). Meanwhile the Structural Capital Value Added (STVA) and Institusional Ownership have no significant influence on Return on Asset (ROA).Keywords:       Value  Added  Capital  Employed  (VACA),  Value  Added  Human Capital (VAHU), Structural Capital Valu Added (STVA), Managerial Ownership, Institusional Owneship, and Return on Asset (ROA)
Analisis Pengaruh Privasi, Keamanan, dan Kepercayaan terhadap Niat Untuk Bertransaksi Secara Online Shaiful -; Syarifah Hudayah; Saida Zainurossalamia ZA
Jurnal Ilmu Manajemen Mulawarman (JIMM) Vol 1, No 3 (2016): September
Publisher : Fakultas Ekonomi Dan Bisnis Universitas Mulawarman

Show Abstract | Download Original | Original Source | Check in Google Scholar | DOI: 10.29264/jimm.v1i3.565

Abstract

The purpose of this research was to determine and analyze the effect of privacy, security, and trust in the intentions to transactionion online on olx.co.id. Population in this research is the general public Tenggarong Kutai Kartanegara, and the location for this research in Waduk Panji Sukarame. The kind of research used in this study is explanatory research with survey method and total sample in this research is 60 respondent. Sample technique used is obtained by used accidental sampling method. Data sources used primary data and secondary data from literature and internet. Meanwhile data analysis technique used by this research is quantitative analysis with the help of SPSS program that is linear regression analysis. The result of this research indicate that the influence of privacy on the intention to transaction online on olx.co.id negative and no significant, while security positive and significant effect on the intention to transaction, besides confidence positive and significant effect on the irntention to transaction on olx.co.id.Keywords: E-commerce, Privacy, Security, Trust, Transaction Eagerness  

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