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Contact Name
Safrilia Ayu Nani
Contact Email
bpjfeb@ub.ac.id
Phone
+6285708508515
Journal Mail Official
ieff@ub.ac.id
Editorial Address
Jl. MT Haryono No 165 Malang Fakultas Ekonomi dan Bisnis Universitas Brawijaya
Location
Kota malang,
Jawa timur
INDONESIA
Islamic Economics and finance in Focus (IEFF)
Published by Universitas Brawijaya
ISSN : -     EISSN : 29641233     DOI : 10.21776/ub.ieff
Publish all forms of quantitative and qualitative research articles and other scientific studies related to the field of Islamic Economics and finance.
Articles 15 Documents
Search results for , issue "Vol. 2 No. 2 (2023)" : 15 Documents clear
Pengaruh PENGARUH DIVERSIFIKASI PENDAPATAN, UKURAN BANK DAN KOMPETISI BANK TERHADAP PROFITABILITAS BANK UMUM SYARIAH Paramitha, Devi; Prasetya, Ferry
Islamic Economics and finance in Focus Vol. 2 No. 2 (2023)
Publisher : Fakultas Ekonomi dan Bisnis Universitas Brawijaya

Show Abstract | Download Original | Original Source | Check in Google Scholar | DOI: 10.21776/ieff.2023.02.02.04

Abstract

The bank carries out diversification activities to increase income and reduce risks arising from the main activities of the bank as well as being one of the bank's strategies to strengthen banking competitiveness supported by bank size. The market share of Islamic banks which has been low for the last 31 years is still low at around 7%, besides that the growth of fintech which continues to increase makes Islamic banks a good strategy to maintain their performance. This study uses the technique of multiple linear regression analysis of panel data, on 10 Indonesian BUS for the 2015-2021 quarter period. We found that income diversification had an effect on the profitability of Islamic commercial banks for the 2015-2021 period as measured by ROA and ROE, while bank size had an effect on ROA and had no effect on ROE while banking competition had no effect on profitability of Islamic bank and the structure of Islamic bank is in monopolistic market structure.
PENGARUH RASIO PROFITABILITAS TERHADAP PERUBAHAN HARGA SAHAM PERUSAHAAN YANG TERDAFTAR DI JII Rafli Dilazare Wicaksono; Kornitasari, Yenny
Islamic Economics and finance in Focus Vol. 2 No. 2 (2023)
Publisher : Fakultas Ekonomi dan Bisnis Universitas Brawijaya

Show Abstract | Download Original | Original Source | Check in Google Scholar | DOI: 10.21776/ieff.2023.02.02.08

Abstract

Investors before carrying out investment activities need to analyze the company's financial statements in order to see the company's performance and estimate the company's stock price movements with the aim of benefiting from investment activities. This study aims to determine the effect of Return On Asset, Return On Equity, Earning Per Share and Net Profit Margin on changes in stock prices in companies listed on the Jakarta Islamic Index. The population used in this study are companies that have been listed for 4 consecutive years during the 2018-2021 period on the Jakarta Islamic Index. The data used is secondary data by purposive sampling. The data analysis method in this study is a hypothesis. From this study, it was found that Return On Asset partially had a positive and significant effect on stock prices. While Return On Equity, Earning Per Share and Net Profit Margin partially have a negative and insignificant effect on stock prices. So that from this research, the Return On Asset ratio can be used by investors as a reference to see future stock price movements and the Return On Equity, Earning Per Share and Net Profit Margin ratios cannot be used to analyze stock price movements.
PENGARUH PENDAYAGUNAAN ZAKAT PRODUKTIF TERHADAP KESEJAHTERAAN MUSTAHIK Moh Afiq Amiruddin; Muttaqin, Aminullah Achmad
Islamic Economics and finance in Focus Vol. 2 No. 2 (2023)
Publisher : Fakultas Ekonomi dan Bisnis Universitas Brawijaya

Show Abstract | Download Original | Original Source | Check in Google Scholar | DOI: 10.21776/ieff.2023.02.02.14

Abstract

This study aims first to analyze the level of mustahik welfare provided by BAZNAS Tulungagung Regency, then the second to analyze the effect of independent variables, namely the adequacy of zakat funds, guidance and supervision, as well as the allocation of zakat utilization on the dependent variable, namely mustahik welfare. The approach method used is quantitative and the data used is primary data obtained from the field through questionnaires. This study used a sample of 80 respondents from 143 mustahik who received productive zakat assistance by BASNAZ Tulungagung Regency. The data was tested using validity and reliability tests. Then descriptive analysis is carried out and tools are used to analyze from the data obtained from multiple linear regression analysis. Meanwhile, to test the hypothesis, a probability value test tool is used that will measure the correlation probability value. The results showed that the adequacy of funds, guidance and supervision, as well as the allocation of zakat utilization all have a significant influence on the welfare of mustahik.
EFISIENSI ASURANSI JIWA SYARIAH: PENDEKATAN DATA ENVELOPMENT ANALYSIS Darmawan, Rifki; Satria, Dias
Islamic Economics and finance in Focus Vol. 2 No. 2 (2023)
Publisher : Fakultas Ekonomi dan Bisnis Universitas Brawijaya

Show Abstract | Download Original | Original Source | Check in Google Scholar | DOI: 10.21776/ieff.2023.02.02.05

Abstract

This research was intended to measure the efficient value of Sharia life insurance in Indonesia with the span of 2018-2021. The data used in this study was 10 Sharia life insurance companies obtained from financial reports each company. The measuring instrument used in this study is a non-parametric type using the Data Envelopment Analysis (DEA) method. The results obtained in this study are that Sharia Life Insurance companies in Indonesia have not reached an efficient level. That's supported by an average technical efficiency value (TE) of 0.72 %, pure efficiency (PTE) of 0.81 %, and scale efficiency (ES ) of 0.87%.
ANALISIS PENGARUH JUB, INFLASI, KURS, DAN IHSG TERHADAP KINERJA REKSA DANA SYARIAH DI INDONESIA PADA TAHUN 2015 HINGGA 2020 Ayunata, Nabila; Iswan Noor
Islamic Economics and finance in Focus Vol. 2 No. 2 (2023)
Publisher : Fakultas Ekonomi dan Bisnis Universitas Brawijaya

Show Abstract | Download Original | Original Source | Check in Google Scholar | DOI: 10.21776/ieff.2023.02.02.13

Abstract

This study aims to determine the factors that influence the performance of Islamic Mutual Funds in Indonesia from 2015 to 2020. The research data were obtained from official publications of the Financial Services Authority and the official website of state data providers. This study uses 5 variables consisting of 1 dependent variable and 4 independent variables. Sharia Mutual Funds performance variable is measured by Net Asset Value (NAV) as the dependent variable. Money Supply, Inflation, Exchange Rate, and Indonesia Composite Index variables as independent variables. This study used the VAR/VECM method with Stata14 software. The results of this study indicate that in the short term, the Indonesia Composite Index variable and the NAV variable itself have a negative and significant effect. Meanwhile, in the long run, only the Indonesia Composite Index variable affects NAV. Meanwhile, the variables of Money Supply, Inflation, and Exchange Rates do not significantly influence the performance of Islamic Mutual Funds in Indonesia from 2015 to 2020.

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