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Contact Name
Muhamad Sidik
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Penerbit: CV. Kampus Akademik Publising Jl.pedurungan kidul IV rt.03/01 No.62 Kel. Pedurungan Kidul/ Kec.Pedurungan
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INDONESIA
JURNAL RUMPUN MANAJEMEN DAN EKONOMI
ISSN : 30467411     EISSN : 30467144     DOI : ttps://doi.org/10.61722/jrme.v1i2.1064
JURNAL RUMPUN MANAJEMEN DAN EKONOMI (JRME) berfokus pada penerbitan artikel berkualitas tinggi yang didedikasikan untuk semua aspek penelitian, masalah, dan perkembangan terbaru di bidang Ilmu Manajemen. Topik dalam Jurnal ini berkaitan dengan aspek apapun dari manajemen, namun tidak terbatas pada topik berikut : Manajemen Sumberdaya Manusia , Manajemen Keuangan, Manajemen Pemasaran, Manajemen Sektor Publik, Manajemen Operasional, Manajemen Rantai Pasokan, Corporate Governance, Etika Bisnis, Akuntansi Manajemen dan Pasar Modal dan Investasi. berfokus pada penerbitan artikel berkualitas tinggi yang didedikasikan untuk semua aspek Ekonomi, Bisnis dan Akuntansi. Jurnal ini memberikan ruang bagi para peneliti untuk berdiskusi, mengejar dan meningkatkan pengetahuan di bidang Ilmu Ekonomi Bisnis dan Akuntansi yang terus berkembang. Artikel dapat ditulis dalam bahasa Inggris atau bahasa Indonesia Jurnal ini terbit 1 tahun
Articles 442 Documents
PENGARUH PROMOSI DAN KEPERCAYAAN TERHADAP KEPUTUSAN PEMBELIAN PADA TOKO JAFAR PLAZA BANGUNAN AEK TOLANG KABUPATEN TAPANULI TENGAH Bariq Direza Manik; Yacub Hutabarat; Nelly A. Sinaga
JURNAL RUMPUN MANAJEMEN DAN EKONOMI Vol. 2 No. 4 (2025): Juli
Publisher : CV. KAMPUS AKADEMIK PUBLISHING

Show Abstract | Download Original | Original Source | Check in Google Scholar | DOI: 10.61722/jrme.v2i4.6182

Abstract

This study aims to determine the effect of promotion and trust on purchasing decisions at the Jafar Plaza Store, Aek Tolang Building, Central Tapanuli Regency. The type of research used in this study is a quantitative descriptive research type, because this research method aims to obtain information by creating a picture or description of what exists or is happening. This research was conducted from April to August 2024. For this study, the population was 200 people taken from all consumers who made purchases on average every week. Then, the author took 25% of the population to be used as a sample, namely 50 people. The type of data used in this thesis research is the type of subject data and the data source is primary. From the results of the instrument test, valid and reliable results were obtained because all questions contained in variables X1, X2 and Y have a Corrected Item-Total Correlation value, greater than 0.300 and a Cronbach's Alpha value, each variable above 0.60 which means all questions are valid. and reliability. From the results of the data testing, an influence of 70.4% was obtained, this means that what happened to the variation of the dependent variable was 70.4% determined by the independent variable. From the hypothesis test, the results of the calculated t value <t table and the calculated F value> F table, so the hypothesis proposed in this study can be accepted. .
PENGARUH LINGKUNGAN KERJA DAN KOMPENSASI TERHADAP SEMANGAT KERJA GURU PADA SMA NEGERI 3 SIBOLGA Wendy Susanto Tambunan; Hadijah Sipahutar; Indra Setiawan Hutabarat
JURNAL RUMPUN MANAJEMEN DAN EKONOMI Vol. 2 No. 4 (2025): Juli
Publisher : CV. KAMPUS AKADEMIK PUBLISHING

Show Abstract | Download Original | Original Source | Check in Google Scholar | DOI: 10.61722/jrme.v2i4.6187

Abstract

This study aims to determine the influence of the work environment and compensation on the work spirit of teachers at SMA Negeri 3 Sibolga. The type of research used in this study is a descriptive quantitative research type, because this research method aims to obtain information by creating a picture or description of what exists or is happening. For this study, the population was 56 (fifty-six) people, the population was taken from all teachers at SMA Negeri 3 Sibolga. Because the population is below 100 people, the author took the entire population to be used as a sample, namely 56 (fifty-six) people. The type of data used in this thesis research is the type of subject data and the source of the data is primary. From the results of the instrument test, valid and reliable results were obtained because all questions contained in variables X1, X2 and Y have a Corrected Item-Total Correlation value of more than 0.300 and a Cronbach's Alpha value of each variable above 0.60, which means that all questions are valid. and reliability. From the classical assumption test, the research data is normally distributed because the histogram graph is bell-shaped, in the P-P Plot graph above, the data distribution can be seen close to the diagonal line and in the multicollinearity test, the tolerance value is ˃ 0.1 and the variance inflation factor (VIF) value <10, so it can be concluded that in the regression model, there is a correlation between independent variables. From the results of the data test, an influence of 71.6% was obtained, this means that what happens to the variation of the dependent variable is 71.6% determined by the independent variable, from the hypothesis test, the results of the calculated t value <t table, so Ha is accepted and H0 is rejected and the results of the F test obtained a calculated F value of 55.599 with a significance level of 0.000 and a calculated F value> F table, which is 24.642> 4.15. Based on this, the hypothesis proposed in this study is accepted. Keywords: Work Environment, Compensation and Work Spirit.
Pengaruh Harga Kualitas Produk dan Brand Image Terhadap Keputusan Pembelian pada Sepatu Converse Nadhif Andika Dwi Putra; M. Sihab Ridwan
JURNAL RUMPUN MANAJEMEN DAN EKONOMI Vol. 2 No. 5 (2025): September
Publisher : CV. KAMPUS AKADEMIK PUBLISHING

Show Abstract | Download Original | Original Source | Check in Google Scholar | DOI: 10.61722/jrme.v2i5.6255

Abstract

This thesis discusses the influence of price, product quality, and brand image on purchasing decisions for Converse shoes. The purpose of this study is to identify, prove, and analyze the effects of price, product quality, and brand image on the purchase decisions of Converse shoes among students of Universitas 17 Agustus 1945 Surabaya.Using a quantitative approach, the research collects both primary and secondary data from 100 respondents. The analytical method employed is multiple linear regression analysis, which includes validity tests, reliability tests, and classical assumption tests to analyze the data.The results of the study show that partially, price, product quality, and brand image each have a significant influence on purchasing decisions. Simultaneously, price, product quality, and brand image also significantly influence purchasing decisions. These findings highlight the importance of these three factors in marketing strategies to increase consumer buying interest
PENGARUH DEBT TO EQUITY RATIO (DER), CURRENT RATIO (CR), DAN RETURN ON EQUITY (ROE) TERHADAP HARGA SAHAM PADA PT MAYORA INDAH TBK PERIODE 2012 – 2024 Yayang Angelina Octora; Yusran Daeng Matta
JURNAL RUMPUN MANAJEMEN DAN EKONOMI Vol. 2 No. 5 (2025): September
Publisher : CV. KAMPUS AKADEMIK PUBLISHING

Show Abstract | Download Original | Original Source | Check in Google Scholar | DOI: 10.61722/jrme.v2i5.6414

Abstract

Penelitian ini bertujuan untuk mengetahui pengaruh Debt to Equity Ratio (DER), Current Ratio (CR), dan Return On Equity (ROE) terhadap Harga Saham pada PT Mayora Indah Tbk periode 2012 – 2024. Metode dalam penelitian ini bersifat deskriptif kuantitatif. Metode Analisa data yang digunakan meliputi: Uji Asumsi Klasik (Uji Normalitas, Uji Multikolinearitas, Uji Heteroskedastisitas, dan Uji Autokorelasi), Uji Koefisien Determinasi, Uji Regresi Linier Berganda, Uji Hipotesis (Uji t (Parsial) dan Uji F (Simultan)). Hasil penelitian ini menunjukkan bahwa Debt to Equity Ratio (DER) secara parsial berpengaruh negatif dan signifikan terhadap Harga Saham karena t hitung 4,887 > t tabel 2,6216 dan nilai sig 0,001 < 0,05. Current Ratio (CR) secara parsial tidak berpengaruh dan signifikan terhadap Harga Saham karena t hitung 0,301 < t tabel 2,6216 dan nilai sig 0,771 > 0,05. Return On Equity (ROE) secara parsial tidak berpengaruh dan signifikan terhadap Harga Saham karena t hitung 0,240 < t tabel 2,6216 dan nilai sig 0,815 > 0,05. Secara simultan Debt to Equity Ratio (DER), Current Ratio (CR), dan Return On Equity (ROE) berpengaruh dan signifikan terhadap Harga Saham pada PT Mayora Indah Tbk periode 2012 – 2024 karena F hitung 13,206 > F tabel 3,41, dengan tingkat signifikansi 0,001 < 0,05. Hasil Uji Autokolerasi menggunakan metode Runs Test menunjukkan nilai Asymp. Sig (2-tailed) 0,545 > 0,05, sehingga dapat disimpulkan model regresi yang digunakan bebas dari masalah Autokolerasi.
PENGARUH BIAYA PRODUKSI, BIAYA OPERASIONAL DAN BIAYA PEMASARAN TERHADAP LABA PERUSAHAAN PADA PT NIPPON INDOSARI CORPINDO TBK PERIODE 2014-2023 Riska Putri Ningtias Ningtias, Riska Putri; Reza Octovian
JURNAL RUMPUN MANAJEMEN DAN EKONOMI Vol. 2 No. 5 (2025): September
Publisher : CV. KAMPUS AKADEMIK PUBLISHING

Show Abstract | Download Original | Original Source | Check in Google Scholar | DOI: 10.61722/jrme.v2i5.6423

Abstract

The purpose of this study is to determine the effect of Production Costs, Operational Costs and Marketing Costs on Net Profit at PT Nippon Indosari Corpindo Tbk for the 2014-2023 Period, both partially and simultaneously. The research method used is a quantitative method. The population used is the Financial Report of PT Nippon Indosari Corpindo Tbk for the 2014-2023 Period for 10 (ten). The sample used is the Profit and Loss Report of PT Nippon Indosari Corpindo Tbk for the 2014-2023 Period. Data analysis in this study uses classical assumption tests, multiple linear regression analysis, hypothesis testing and determination coefficient analysis. The results of this study are multiple linear regression equations of Y = (-15.189.932) + 0.616X1 – 0.404X2 + 0.326X3. Partially, the Production Cost variable has a positive and significant effect on Net Profit with the result of t count > t table or (6.676 > 2.447) with a significance level of 0.001 < 0.05. The Operational Cost variable also has a negative and significant effect on Net Profit with the result of t count > t table or (-2.805) > (-2.447) with a significance level of 0.031 < 0.05. While the Marketing Cost variable has no significant effect on Net Profit with the result of t count < t table or (0.501 < 2.447) with a significance level of 0.634 > 0.05 Simultaneously, Production Cost, Operational Cost and Marketing Cost have a significant effect on Net Profit with the value of F count > F table, namely (16.934 > 4.76) with a significance level of 0.002 < 0.05. The coefficient of determination is 89.4%, the remaining 0.106% is influenced by other variables and factors.
PENGARUH RETURN ON ASSET DAN CURRENT RATIO TERHADAP HARGA SAHAM PADA PT ANEKA TAMBANG Tbk (ANTAM) PERIODE 2013 – 2023 Dara Lisnawati; Eni Puji Astuti
JURNAL RUMPUN MANAJEMEN DAN EKONOMI Vol. 2 No. 5 (2025): September
Publisher : CV. KAMPUS AKADEMIK PUBLISHING

Show Abstract | Download Original | Original Source | Check in Google Scholar | DOI: 10.61722/jrme.v2i5.6424

Abstract

This study aims to analyze the effect of Return On Asset (ROA) and Current Ratio (CR) on Share Price at PT Aneka Tambang Tbk (ANTAM) for the period 2013-2023. The research method used is quantitative with data analysis techniques including descriptive statistics, classical assumption tests, multiple linear regression analysis, and hypothesis testing using SPSS software assistance. The data used is secondary data in the form of annual financial reports of PT Aneka Tambang Tbk from 2013 to 2023 obtained from the company's official website and other reliable sources. The sample of this study is all financial statements of PT Aneka Tambang Tbk during that period. The results showed that partially, Return On Assets (ROA) has a positive and significant effect on stock prices, with a t_hitung value (3.078) > t_table (2.306) and a significance value of 0.015 <0.05, which means that Return On Assets has a partial effect on Stock Price.... On the other hand, Current Ratio (CR) has no effect on stock prices with a t_hitung value (-0.474) < t_table (2.306) and a significance value of 0.648 > 0.05, it can be concluded that CR is rejected, which means that Current Ratio has no partial effect on Stock Price. Simultaneously, return on assets (ROA) and Current ratio (CR) have a significant effect on stock prices, as evidenced by the value of Fcount (5.124) > Ftable (4.459) and the significance value (0.037) <0.05.
PENGARUH RASIO PASAR DAN KEPUTUSAN INVESTASI TERHADAP HARGA SAHAM PADA PT BUKIT ASAM TBK PERIODE 2017 mali, Yohanes fisker Koli; Sanjaya, Rudi
JURNAL RUMPUN MANAJEMEN DAN EKONOMI Vol. 2 No. 5 (2025): September
Publisher : CV. KAMPUS AKADEMIK PUBLISHING

Show Abstract | Download Original | Original Source | Check in Google Scholar | DOI: 10.61722/jrme.v2i5.6427

Abstract

This study aims to determine the effect of Market Ratio and Investment Decision on Stock Price at PT Bukit Asam Tbk for the period 2017–2024. The research method used is a quantitative approach with multiple linear regression analysis. Data were obtained from annual financial reports and the analysis was carried out using SPSS Statistics version 25. The results of the study show that partially, Market Ratio (PER) has a significant effect on Stock Price with a calculated t value of 5.495, so that t-count> t-table 5.495> 2.01505. significance 0.003 <0.05, while Investment Decision (ROA) does not have a significant effect partially with a calculated t value of 1.504, so that t-count <t-table 1.504 <2.01505. significance 0.193> 0.05. simultaneously, Market Ratio (PER) and Investment Decision (ROA), have a significant effect on Stock Price. This is indicated by the calculated F-value of 17.175 which is greater than the F-table of 5.79, with a significance value of 0.006 <0.05. The coefficient of determination value shows that 82.2% of the variation in Stock Prices can be explained by the Market Ratio (PER) and Investment Decision (ROA) variables. Meanwhile, the remaining 17.8% is influenced by other variables outside the model that are not discussed in this study. This finding indicates that the Market Ratio is a more dominant indicator in influencing stock prices than Investment Decisions during the study period.
PERBANDINGAN KINERJA REKSA DANA SYARIAH DENGAN REKSA DANA KONVENSIONAL Rica Rahim Lubis; Dewi Tamora Siregar; M. Ziqhri Anhar Nasution
JURNAL RUMPUN MANAJEMEN DAN EKONOMI Vol. 2 No. 5 (2025): September
Publisher : CV. KAMPUS AKADEMIK PUBLISHING

Show Abstract | Download Original | Original Source | Check in Google Scholar | DOI: 10.61722/jrme.v2i5.6460

Abstract

This study aims to analyze the performance comparison between Islamic mutual funds and conventional mutual funds in Indonesia. The research employs a descriptive qualitative method using secondary data from performance reports, regulations, and academic literature. The findings indicate that Islamic mutual funds demonstrate better stability and relatively controlled risk due to restrictions based on Sharia principles in selecting investment instruments. In contrast, conventional mutual funds offer broader flexibility and higher return potential but with greater risk exposure. Therefore, the choice between the two types of mutual funds is strongly influenced by investors’ risk profiles, investment objectives, and personal values.
PENGARUH PELATIHAN DAN DISIPLIN KERJA TERHADAP KINERJA KARYAWAN PADA PT. INKABIZ INDONESIA Husain, Moh. Ali; Anjani, Septi Rostika
JURNAL RUMPUN MANAJEMEN DAN EKONOMI Vol. 2 No. 5 (2025): September
Publisher : CV. KAMPUS AKADEMIK PUBLISHING

Show Abstract | Download Original | Original Source | Check in Google Scholar | DOI: 10.61722/jrme.v2i5.6461

Abstract

This study aims to determine the effect of training and work discipline on employee performance at PT. Inkabiz Indonesia. Training and work discipline are two important factors in improving the quality of human resources and achieving company targets. This research uses a quantitative method with an associative approach. The sampling technique employed Slovin’s formula from a population of 108 people, resulting in 85 respondents as the sample. Data were collected through questionnaires. Data analysis included validity testing, reliability testing, classical assumption testing, multiple linear regression analysis, t-test, F-test, and the coefficient of determination (R²), with the assistance of SPSS version 27. The results show that the training variable (X₁) has no positive and significant effect on employee performance, with a significance value of 0.223 > 0.05. In contrast, the work discipline variable (X₂) has a positive and significant effect on employee performance, with a significance value of 0 < 0.05. The simultaneous test (F-test) indicates that training and work discipline together have a significant effect on employee performance, with a significance value of 0.001 < 0.05. The coefficient of determination (R²) of 0.598 indicates that 59.8% of the variation in employee performance is influenced by training and work discipline, while the remaining 40.2% is influenced by other variables outside this study.
EFISIENSI PERTUMBUHAN LABA BERDASARKAN PERPUTARAN KAS, PERPUTARAN PIUTANG DAN PERPUTARAN PERSEDIAAN PADA PT MAYORA INDAH TBK PERIODE 2014-2023 Sabili, Jihad; Achmad Ludvy
JURNAL RUMPUN MANAJEMEN DAN EKONOMI Vol. 2 No. 5 (2025): September
Publisher : CV. KAMPUS AKADEMIK PUBLISHING

Show Abstract | Download Original | Original Source | Check in Google Scholar | DOI: 10.61722/jrme.v2i5.6464

Abstract

This study aims to analyse the efficiency of profit growth at PT Mayora Indah Tbk during the 2014-2023 period by reviewing three main indicators, namely cash turnover, accounts receivable turnover, and inventory turnover. The method used is quantitative research. The data used is secondary data in the form of financial statements of PT Mayora Indah Tbk for the period 2014-2023. The analysis method used is descriptive statistical test, frontier regress test, hypothesis testing with z test and chi wald test and efficiency test using Stata version 14. The results of the z value research 3.96 with a P>|z| value of 0.000 < 0.05 partially show that Cash Turnover has a significant effect on Profit Growth, z value -1. 95 with a P >|z| value of 0.051> 0.05 partially Accounts Receivable turnover has no significant effect on profit growth, zcount value -1.30 < ztabel 1.96 with a P >|z| value of 0.195 > 0.05 partially inventory turnover has no significant effect on profit growth. While the value of wald chi2 (3) = 15.76 with a prob value = 0.0013 <0.05 means that simultaneously Cash Turnover, Receivables Turnover and Inventory Turnover have a significant effect on Profit Growth Efficiency.