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Johny A. Koylal
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Lembaga Penerbit Fakultas Ekonomi dan Bisnis Universitas Trisakti Fakultas Ekonomi dan Bisnis Universitas Trisakti Gedung Hendriawan Sie Lantai 3, Jalan Kyai Tapa Grogol no. 1 Grogol, Jakarta 11440 Telp. +62215663232 Ext. 8334 Fax. +62215696906
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INDONESIA
Media Ekonomi
Published by Universitas Trisakti
ISSN : 08533970     EISSN : 24429686     DOI : 10.25105/me
Media Ekonomi is published by Lembaga Penerbit Fakultas Ekonomi dan Bisnis (LPFEB) Universitas Trisakti. Since 2002, three times a year, (April, August, and December). This journal was accredited by Dikti of 2005-2008, and start from 2016, we change the publication frequency to twice a year (April and October). The aim of Media Ekonomi to disseminate research result in economics. This journal did not give limitation on research method, both of quantitative and qualitative can be accepted and the data from primary, secondary, and literature review. The article that was submitted can be used Bahasa or English. The decision for acceptance depends on blind review results. Several criteria to be accepted are: originality, novelty, proper research method and give real contribution for theory development, or future research or practitioners. This journal is Open Access journal. This journal allows readers to read, download, copy, distribute, print, search or link to the full texts or its articles and to use them for any other lawful purpose.
Articles 5 Documents
Search results for , issue "Vol. 19 No. 2 (2011)" : 5 Documents clear
ANALISIS PENGARUH VARIABEL MAKROEKONOMI TERHADAP INFLASI DI INDONESIA SEBELUM DAN SESUDAH DITERAPKANNYA KEBIJAKAN INFLATION TARGETING FRAMEWORK PERIODE 2002:1 –2010:12 Murti Sari Dewi
Media Ekonomi Vol. 19 No. 2 (2011)
Publisher : Lembaga Penerbit Fakultas Ekonomi dan Bisnis

Show Abstract | Download Original | Original Source | Check in Google Scholar | Full PDF (746.628 KB) | DOI: 10.25105/me.v19i2.827

Abstract

This thesis want to see effect of macroeconomics variables of inflation in Indonesia before and after Inflation Targeting Framework Policy period 2002:1 – 2010:12. The data used in this study is a secondary data obtained from Bank Indonesia. Variables are in use, among others: the level of inflation (CPI), the money supply, government expenditure, exchange rates against the U.S. dollar, and the dummy variable. Analysis tool used is a dynamic model. This model explains the influence of the relationship between the dependent variable with independent variables in the short and long term. The results of this study concluded that the variables in the money supply, government expenditure , and exchange rates have a significant effect on inflation in the long run, while in the short term had no significant effect on inflation, so that this study produces a long-term equation. Based on the results of previous studies both concluded that the variables in the money supply, government expenditure , and exchange rates have a significant effect on inflation in the long run, while in the short term had no significant effect on inflation.
ANALISIS INVESTASI DALAM ASURANSI SYARIAH DI INDONESIA TERHADAP PORTFOLIO OPTIMAL Ade Nanda Sawitri
Media Ekonomi Vol. 19 No. 2 (2011)
Publisher : Lembaga Penerbit Fakultas Ekonomi dan Bisnis

Show Abstract | Download Original | Original Source | Check in Google Scholar | Full PDF (285.717 KB) | DOI: 10.25105/me.v19i2.828

Abstract

Sharia Insurance is an investment in the business conducted in which the company asa fiduciary (mudharib) must perform investment activities after obtaining approval from the supervisory board of Islamic syar’i to fund the premiums that have been collected from participants. Investment instruments used in the sharia insurance are mudharabah deposits, sharia bonds, mutual funds, murabahah financing and JII stock. This study aims to see the development of each investment in each company also to analyze the type of sharia insurance that can yield the most optimal portfolio by maximizing returns. By using the Linear Programming method to maximize returns and develop the corresponding constraints, the result will be obtained from the linear program that can generate an optimal portfolio. Furthermore, we will see the development of each type of investment and see the most optimal investment in the three sharia insurance companies in the years 2007-2009. The results of this study indicate that PT Family MTakaful Insurance has the type of investment that is optimal mudharabah deposits and sharia bonds. PT Prudential Insurance has the type of investment that is optimal mudharabah deposits and sharia bonds. PT Insurance Allianze have the optimal type of investment is mutual funds.Keywords : Sharia insurance, investment instrument, linear programming
ANALISIS EFISIENSI TEKNIS BANK PEMBANGUNAN DAERAH DI INDONESIA PERIODE TAHUN 2008 – 2009 DENGAN MENGGUNAKAN METODE DEA (DATA ENVELOPMENT ANALYSIS) Amrina Rosyada
Media Ekonomi Vol. 19 No. 2 (2011)
Publisher : Lembaga Penerbit Fakultas Ekonomi dan Bisnis

Show Abstract | Download Original | Original Source | Check in Google Scholar | Full PDF (667.686 KB) | DOI: 10.25105/me.v19i2.829

Abstract

The purpose of this research is to acknowledge the level of efficiency from Regional Development Bank (Bank Pembangunan Daerah)/BPD) in Indonesia. This research use non - parametric approach which is DEA (Data Envelopment Analysis), to measure the efficiency of input and output of the Regional Development Banks. The input variables include are interest expense, administration and public expenses and salary expenses and the output variables are interest net income and other operasional income. The research concluded shows that the performance of the technical efficiency of banks BPD is not all reach the level of 100% and showed a fluctuation grow from 2008 – 2009. Pursuant to the technical efficiency level showed that there are 4 banks from 26 existing banks are showing a maximum efficiency. While the remaining 21 BPD banks fluctuating during 2008 to 2009. Keywords : Efficiency, Data Envelopment Analysis (DEA), Regional Development Bank
ANALISIS EFISIENSI INDUSTRI ROKOK DI INDONESIA DENGAN MENGGUNAKAN METODE DEA (DATA ENVELOPMENT ANALYSIS) TAHUN 2006 - 2008 Ida Ayu Puspitasari
Media Ekonomi Vol. 19 No. 2 (2011)
Publisher : Lembaga Penerbit Fakultas Ekonomi dan Bisnis

Show Abstract | Download Original | Original Source | Check in Google Scholar | Full PDF (306.398 KB) | DOI: 10.25105/me.v19i2.830

Abstract

This study aims to determine the efficiency levels of cigarettes industry inIndonesia. The analysis tools used in this study is the DEA (Data Envelopment Analysis)method of analysis. Expecially for the “Go Public” firms those are PT BAT Indonesia, PT Bentoel, PT Gudang Garam, PT HM Sampoerna. The research, used secondary data, from the Indonesian Capital Market Directory year 2006 - 2008. Variables used in the study consist of four input variables and two output variables. Its input variables consist of labor, Debt, Capital, and Total Asset, whiles its output variable consist of Net Sales and Gross Profit. The research results show that there only two companies that consistent to maintained the level of efficiency of 100% during the study, namely PT BAT Indonesia and PT HM Sampoerna. Meanwhile, two other companies show their performance levels efficiency have not stabillized during the study, namely PT Bentoel and PT Gudang Garam.Keywords : Efficiency, DEA, Cigarette Company, Labor, Debt, Capital, Total Asset, Net Sales, Gross Profit.
ANALISIS KINERJA EKSPOR DAN IMPOR TEMBAKAU INDONESIA PERIODE 2000-2009 Luthfi Safitri
Media Ekonomi Vol. 19 No. 2 (2011)
Publisher : Lembaga Penerbit Fakultas Ekonomi dan Bisnis

Show Abstract | Download Original | Original Source | Check in Google Scholar | Full PDF (250.188 KB) | DOI: 10.25105/me.v19i2.831

Abstract

Writing this thesis aims to find and to anlysis Indonesia tobacco export and import facing global crisis.Based on Indonesia export and impor in 2000-2009. Variabel in this thesis is Indonesia tobacco.Variabel in this thesis in 2000-2009. The method in this thesis is market consentration (KP) Revealed Comparative Advantage (RCA) and Trade Specialization Ratio (TSR). From analysis Regresion in 2000-2009 show that export and import from TSR methode that Indonesia comparative advantages,tobacco can compet with another country in the world.Keywords: Tobacco,Indonesia Expor, Import

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