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Diponegoro Journal of Management
Published by Universitas Diponegoro
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Media publikasi karya ilmiah lulusan S1 Prodi Manajemen Fakultas Ekonomika dan Bisnis Universitas Diponegoro yang memuat berbagai hasil penelitian maupun kajian mengenai manajemen keuangan, manajemen sumber daya manusia, manajemen pemasaran, manajemen strategik dan manajemen operasional.
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Articles 1,401 Documents
ANALISIS PENGARUH CORPORATE GOVERNANCE DAN LEVERAGE TERHADAP PROFITABILITAS PERUSAHAAN DENGAN FIRM SIZE SEBAGAI VARIABEL KONTROL (Studi Empiris : Perusahaan Go Public Non Keuangan yang Terdaftar di Bursa Efek Indonesia Tahun 2009 sampai dengan 2014) Hardiyawan, Aditya Tri; Demi Pangestuti, Irene Rini
Diponegoro Journal of Management Volume 4, Nomor 4, Tahun 2015
Publisher : Faculty of Economics and Business Diponegoro University

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Abstract

This  Research  aims  to  analyze  the  influence  of  board  independent,  board    ofdirectors, institusional ownership, managerial ownership, and leverage to financial performance that measured by ROA. fThis research also used firm size as control variable. Case study on company non financial in Indonesian Stock Exchange in period 2009-2014.The sampling technique used in this research is purposive sampling. There are 60 companies that used during the research. Analytical technique used in this research is multiple regression analysis by using SPSS 21. In this study the data were obtained from the Indonesian Capital Market Directory (ICMD) 2009-2014, IDX Company Report 2009-2014, and www.idx.co.id. Analysis technique used Ordinary Least Square Regressio (OLS), statistical t-test and classic assumption test that includes a test of normality test, multicollinearity test, heteroskedastisitas test, autucorrelation test.The result shows that board independent and managerial ownership haven’t influenced to ROA, board of directors and institutional ownership has positive influenced to ROA,  and leverage has negative influenced to ROA,
Pengaruh Struktur Pasar, Bank Size, Inflasi dan Gross Domestic Product Terhadap Kinerja Bank di ASEAN 5 (Studi Kasus Bank Komersial di ASEAN 5 Periode Tahun 2007-2014) Ajeng K, Eka; Prasetiono, Prasetiono
Diponegoro Journal of Management Volume 5, Nomor 4, Tahun 2016
Publisher : Faculty of Economics and Business Diponegoro University

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Abstract

The purpose of this research is to analyze some factors which affect of Return On Asset Banks as Market Structure, Bank Size, Inflation and Gross Domestic Product (GDP). This study uses secondary data from 25 banks annual report, change of inflation and GDP  ASEAN 5, those are: Indonesia, Malaysia, Singapore, Philipina and Thailand in years period 2007 to 2014. The sampling method used Purposive Sampling based on a country with banks released a financial report financial. Data analysis used a panel data regression test that was a combination of data cross section and time series with fixed effect model. The results of test found that in partial market structure which is measured using Herfindahl Hirschman Index and GDP have a positive and significant impact. While bank size and inflation do not affect significantly on ROA (Return On Assets)
ANALISIS EFISIENSI BANK UMUM SEBELUM DAN SETELAH KRISIS EKONOMI 2008 DENGAN MENGGUNAKAN METODE NON PARAMETRIK DATA ENVELOPMENT ANALYSIS (DEA) Suharno, Arfinda Piradipta; Demi Pangestuti, Irene Rini
Diponegoro Journal of Management Volume 3, Nomor 3, Tahun 2014
Publisher : Faculty of Economics and Business Diponegoro University

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Abstract

The economic crisis that occurred in quarter IV of 2008 until the quarter II 2009 which took place in the world including Indonesia handy, have resulted in a variety of global financial institutions suffered losses and bankruptcy. Bankruptcy that plagued banks-banks in Indonesia is affected by bank accepted deposits increased, while loans provided decreased, leading to increased interest on loans given to banks.Population research used are commercial banks listed on the IDX (Indonesia stock exchange) period 2006-2012. This study used the method of DEA (Data Envelopment Analysis) and test different ANOVA.The results of hypothesis testing with different ANOVA test showed the presence of tidal differences in the efficiency of banking performance before and after the economic crisis. The results can provide advice to companies banking on anticipated at the time of the crisis, bank indonesia concerning the banking performance evaluation andimplementation of the industrial policy of banks, borrowers, investors, banks and stockholders about the banking efficiency information at the time of the crisis.
PENGARUH FAKTOR-FAKTOR FUNDAMENTAL TERHADAP HARGA SAHAM (Studi Pada Perusahaan Pertambangan yang Terdaftar di Bursa Efek Indonesia (BEI) Tahun 2012-2014) Dwinurcahyo, Ridho; Mahfudz, Mahfudz
Diponegoro Journal of Management Volume 5, Nomor 3, Tahun 2016
Publisher : Faculty of Economics and Business Diponegoro University

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Abstract

The aims of this study are to analyze the effect of Earning per Share (EPS), Price Earning Ratio (PER), Price to Book Value (PBV), dan Debt to Equity Ratio (DER) on Stock Prices. This study was taken because there are still differences between the research study with each other and there is a difference between the real of research data with existing theory. This research was conducted using secondary data. Sampling technique used was purposive sampling. The criteria that needed are mining company whose shares are still actively traded on the Indonesia Stock Exchange, has a data independent and dependent variables for this study, and has a complete annual report for the year 2012-2014. Of the thirty-nine companies, only taken nineteen companies as research samples. The analytical method used is multiple linear regression analysis. The results showed that there are simultaneously influences between Earning per Share (EPS), Price Earning Ratio (PER), Price to Book Value (PBV), Debt to Equity Ratio (DER) on stock prices. Partially, Earning per Share (EPS), Price Earning Ratio (PER), Price to Book Value (PBV) has a positive and significant impact on stock prices and the Debt to Equity Ratio (DER) has a negative and significant impact on stock prices.
ANALISIS PENGARUH KUALITAS PRODUK DAN KEPERCAYAAN MEREK TERHADAP MINAT BELI ULANG YANG DIMEDIASI OLEH KEPUASAN KONSUMEN (Pada Konsumen Samsung Smartphone di Undip) Hudzaifah, Hudzaifah; Idris, Idris
Diponegoro Journal of Management Volume 7, Nomor 2, Tahun 2018
Publisher : Faculty of Economics and Business Diponegoro University

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Abstract

In the current era of globalization Smartphone has become part of the primary needs of society. This matter causes a tight competition among the Smartphone manufacturers across the World, especially in Indonesia. Among those phenomenon, Samsung Smartphone preciselly had been decreased their market share in recent years. This research aims to determine the factors that affect costumer repurchase intention of Samsung Smartphone to win the market and increase market share of the company.In this research the technique used in data retrieval is non probabillity sampling with purposive sampling. Populations and samples in this research are Undip students who have made purchases  of  Samsung  Smartphone  products  that  are  known  or  can  be  found  directly  by researchers. This research using 100 respondents which are the Student across all Faculty in Diponegoro University. The data were collected by using questionnaires. The analysis and interpretation technique that being used is Multiple Regression Analysis, according to the model developed in this research, and operated through SPSS program version 21.The result of the research indicate that Product Quality and Brand Trust have an Positive impact on Customer Satisfaction. Than Product Quality, Brand Trust and Customer Satisfaction have an Positive impact on Customer repurchase intention. Customer satisfaction was the highly influenced variable toward customer repurchase intention.
ANALISA FAKTOR-FAKTOR YANG MEMPENGARUHI CREDIT SPREADS OBLIGASI DI INDONESIA PERIODE 2008-2011 Andriana, Putri; Muharam, Harjum
Diponegoro Journal of Management Volume 4, Nomor 3, Tahun 2015
Publisher : Faculty of Economics and Business Diponegoro University

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Abstract

This study aims to analyze the influence of stock market return volatility, GDP, default probability, and liquidity on credit spreads in Indonesia during period quarter I 2008 to quarter IV 2011. Credit spreads is the result of the difference between the yield to maturity on corporate bonds and the yield to maturity on government bonds with the same marurities.This study uses secondary data from Indonesia Stock Exchange, Indonesia Bond Market Directory, and Statistics Indonesia which involves 14 samples of non-finance corporate bonds traded during 2008-2011. This study uses panel regression method with random effect model selected by the result of Chow test and Hausman test.The result of this study showed that stock market return volatility and GDP have negatively effect on credit spreds in Indonesia. At the same time, default probability and liquidiy did not influences on credit spreads in Indonesia. From the results of panel regression showed that stock market return volatility, GDP, default probability, and liquidity can explain credit spreads in Indonesia by  2.5949% and the rest is explained by other variables outside the model.
ANALISIS FAKTOR-FAKTOR YANG MEMPENGARUHI INITIAL RETURN PADA PERUSAHAAN NON KEUANGAN YANG MELAKUKAN INITIAL PUBLIC OFFERING (IPO) DI BEI PERIODE 2010-2015 Nuryasinta, Amalia; Haryanto, A. Mulyo
Diponegoro Journal of Management Volume 6, Nomor 2, Tahun 2017
Publisher : Faculty of Economics and Business Diponegoro University

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Abstract

Most of company will do a variety of ways to meet the capital needs in order to expand and maintain its business. The company may issuing new shares and sell it to the public, it’s called Initial Public Offering (IPO). This research aims to analyze the influence of Return On Asset (ROA), Debt to Equity Ratio (DER), Current Ratio (CR), Size and Proceed to Initial Return (IR) non-financial companies in Indonesia Stock Exchange during 2010-2015. The number of sample used in this research were 113 non-financial companies doing IPO period of 2010 until the end of 2015. Secondary data were obtain from prospectus when Initial Public Offering. The analytical method used in this research is Multiple Linear Regression Analysis where previously performed classical assumption that includes Normality Test, Multicollinearity Test, Autocorellation Test, and Heteroskedastisitas Test with significance level of 5%. The study found that Size is positively significant influenced to Initial Return (IR). Proceed is negatively significant influenced to Initial Return. On the other hand, Return On Asset (ROA), Debt to Equity Ratio (DER), Current Ratio (CR) have no significant effect on Initial Return. Based on the coefficient determination, variable Return On Asset (ROA), Debt to Equity Ratio (DER), Current Ratio (CR), Size, and Proceed have 28,7% effect against Initial Return. While the remaining 71,3% is influenced by other variables that are not used in this study.
Analis is Faktor-Faktor Yang Me mpe ngaruhi Niat Mengkons ums i Daging Halal(Studi Pada Kons ume n Mus lim di Se marang) Safitri, Afriana; Widiyanto, Ibnu
Diponegoro Journal of Management Volume 2, Nomor 2, Tahun 2013
Publisher : Faculty of Economics and Business Diponegoro University

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Abstract

As the increasing of the consumer need of food, especia lly for meat, it is undeniably that the circulation of unhealthy meat is begin to increase, the unhealthy meat itself is meat that not appropriate with the requirments that already allowed toward domestic products or export import product. Furthermore one of the reason that makes this problem increase is the lack of knowledge and ability of consumers to consider the good and right product (meat) properly and safely. This study is aimed to analyze and provide empirical evidence about whether subjective norm and behavioral control influence on religious awareness on halal products and intention to eat halal meat.The population was the moslem peop le of Semarang who ate red meat. The numberof samples are 100 respondents and the sampling method was accidental sampling.This research  used  a  multip le linear regression  method  with  SPSS  for windows software.The result showed that subjective norm and behavioral control have positive andsignificant impacts on relig ious awareness on hala l products. Further relig ious awareness on  halal  products ,  subjective norm  and  behavioral    control have also  positive and significant impacts on intention to eat halal meat. The most dominant v ariable of model 1 is subjective norm, while for model 2, religious awareness on halal products is the highest influence on intention to eat halal meat.
ANALISIS FAKTOR-FAKTOR YANG MEMPENGARUHI KEPUTUSAN PEMBELIAN ULANG PELANGGAN (Studi pada pelanggan mobile & electronics di situs online Bukalapak) Priambudi, Dicka; Idris, Idris
Diponegoro Journal of Management Volume 8, Nomor 4, Tahun 2019
Publisher : Faculty of Economics and Business Diponegoro University

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Abstract

The development of the digital world that has expanded in various ways is no stranger to today's life, as well as in meeting everyday needs. The development of e-commerce business is a real proof of the seriousness of various parties in facing the progress of the era. Trade competition is getting tougher, which requires the right marketing strategy, in order to attract the purchasing power of the people. This study aims to analyze how the influence of customer satisfaction repurchase mobile & electronic customers on the Bukalapak site. The population in this study are users or Bukalapak online shop customers who are still active and have bought mobile & electronics products on the site. The results showed that web quality, and trust have a positive effect on customer satisfaction, and customer satisfaction, web quality, and trust have a positive effect on repurchase, but web quality has a major effect on influencing repurchases.
ANALISIS PENGARUH KEDISIPLINAN, GAYA KEPEMIMPINAN, DAN MOTIVASI TERHADAP KINERJA KARYAWAN (Studi Pada Perusahaan Otobus Jaya Indah Semarang) Hartanto, Arie Pramudhita; Rahardjo, Edy
Diponegoro Journal of Management Volume 5, Nomor 1, Tahun 2016
Publisher : Faculty of Economics and Business Diponegoro University

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Abstract

This research is motivated the need for a good performance for the Company's employees Otobus Jaya Indah as buses. The existence of this Indah Jaya Otobus Company as a tourist bus service providers located in Semarang need to be considered, as should be well prepared in every way to support the existence of PO. The Indah Jaya. This study aimed to examine the influence of discipline, leadership styles, and motivation on the performance of the Company's employees Otobus Jaya Indah Semarang.This study uses census techniques with a sample of the population amounted to 50 Company employees Otobus Jaya Indah Semarang. The analytical method used is multiple linear regression. Results of the study found that the regression equation as follows: Y = 0447 X1 + 0.456 X2 + 0.639 X3.Based on statistical data analysis, indicators in this study are valid and reliable. In the classic assumption test, regression model multicoloniarityfree, does not occur heteroskedastisitas, and normal distribution. The biggest variable is the variable of motivation at 0.639, whereas the smallest variable variable discipline at 0.447. Results of the study found that all independent variables positive and significant effect on the dependent variable.

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