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IQTISHODUNA
ISSN : 1829524X     EISSN : 26143437     DOI : -
Core Subject : Economy,
IQTISHODUNA Jurnal Ekonomi dan Bisnis Islam merupakan jurnal yang fokus terhadap kajian-kajian yang berkaitan dengan bidang Ekonomi dan Manajemen, yang meliputi beberapa sub bidang, yang diantaranya adalah Ekonomi Islam, Manajemen Bisnis, Manajemen Pemasaran, Manajemen Sumberdaya Manusia, Manajemen Keuangan, dan lain-lain.
Arjuna Subject : -
Articles 335 Documents
PENGARUH VARIABEL STRUKTUR AKTIVA, UKURAN PERUSAHAAN, PROFITABILITAS, LIKUIDITAS DAN DEVIDEN PAYOUT RATIO TERHADAP STRUKTUR MODAL Choiruddin, Muhammad Nanang
IQTISHODUNA IQTISHODUNA (VOL 10, NO 1.
Publisher : Fakultas Ekonomi, UIN Maliki Malang

Show Abstract | Download Original | Original Source | Check in Google Scholar | Full PDF (256.046 KB) | DOI: 10.18860/iq.v10i1.3573

Abstract

This research is conducted to examine the influence of asset structure variable, size, profitability,liquidity, dividend payout ratio influence capital structure in the consumer goods industry sector companywhich has recorded in Indonesian security exchange (IDX) on 2008–2012 period. This research uses dependentvariable capital structure, independent variable is asset structure, size, profitability, liquidity, devidend payoutratio. The sample is 29 consumer goods industry sector company. The result of F test, the research in consumergoods industry sector company in Indonesia show that all independent variables to capital stucture issignificant. The analysis result of t-test, show that asset structure variable, size, profitability and liquidity tocapital stucture are negative significant. Devidend payout ratio to capital structure is not significant. Thisresult explains that the change of capital structure in the consumer goods industry sector company is notinfluenced by devidend payout ratio. For continued research is suggested used type sample of anothercompany which has not been observed with wider scope of research which has more population with longerperiod and should give additional of the number of variable which influence capital structure.
ANALISIS PENGARUH PEMERINTAH TERHADAP INDEKS PEMBANGUNAN MANUSIA DI JAWA TIMUR Aviyati, Syivai
IQTISHODUNA IQTISHODUNA (VOL 10, NO 2.
Publisher : Fakultas Ekonomi, UIN Maliki Malang

Show Abstract | Download Original | Original Source | Check in Google Scholar | Full PDF (424.958 KB) | DOI: 10.18860/iq.v10i2.3585

Abstract

Human development has always been as the main topic of sustainable development. Improving thehuman quality as responsibility of all people, especially the government in term of allocation roles to providedifferent types of services such as education facilities, health and road infrastructure. The Social indicators tomeasure the success of human development used the human development index. This study empiricallyanalyze the effect of health expenses, education and road infrastructure as well as the growth of the populationas a control variable to the index of human development in the District/City of East Java. Data were collectedfrom 29 districts and 9 Cities of the year 2007–2012. To analyze the panel data of district/City, we use a fixedeffect model (FEM). We found a statistically significant and positive effect between government expenses oneducation and government expenses in the health sector to the index of human development, while governmentexpenses in infrastructure and population growth have no significant influence to the index of humandevelopment but have a positive direction.
ANALISIS RASIO LIKUIDITAS, RASIO SOLVABILITAS, DAN UNDERWRITING RATIO UNTUK MENGUKUR KINERJA KEUANGAN PT MANDIRI AXA GENERAL INSURANCE DI INDONESIA PASCA OJK (OTORITAS JASA KEUANGAN ) Widiati, Putri Kurnia; Aisyah, Esy Nur
IQTISHODUNA IQTISHODUNA (VOL 9, NO 2.
Publisher : Fakultas Ekonomi, UIN Maliki Malang

Show Abstract | Download Original | Original Source | Check in Google Scholar | Full PDF (144.056 KB) | DOI: 10.18860/iq.v9i2.3568

Abstract

This study aimstoanalyzethe development ofthe financial performance of PT Mandiri AXAGeneralInsurance in Indonesia after the establishment of the FSA (Financial Services Authority) in 2013 by using theanalysis of liquidity ratios, solvency ratios using solvabillitas rate calculation and risk-based minimum capital,and undderwiting ratio. Based on the results it can be concluded that penellitian seen from the calculation ofthe solvency ratiousing solvabillitas level of risk-based andminimum capital ratio under wrting result andshowed unfavorable results, while the liquidity ratio has increase devery year. The results of the calculationof this ratio in dicates poor performance (except for the liquidity ratio) associated with the presence of FSA(Financial Services Authority).
PENGARUH PENERAPAN GOOD CORPORATE GOVERNANCE TERHADAP NILAI PERUSAHAAN DENGAN IMPLEMENTASI CSR SEBAGAI VARIABEL PEMODERASI Munir, Misbahul; Suryandari, Eka Sevia; Mahmudah, Anik
IQTISHODUNA IQTISHODUNA (VOL 10, NO 1.
Publisher : Fakultas Ekonomi, UIN Maliki Malang

Show Abstract | Download Original | Original Source | Check in Google Scholar | Full PDF (143.55 KB) | DOI: 10.18860/iq.v10i1.3579

Abstract

Corporate Governance is a system that regulates and controls the company that is expected toprovide and enhance the company’s value to its shareholders. This study aims to determine the effect of theimplementation of good corporate governance (GCG) to the value of state-owned banks companies listings inIndonesia stock exchange (IDX) with the implementation of corporate social responsibility (CSR) as a moderatingvariable. This research is a quantitative, analytical models using classical assumption test consists of a testheterokedastisitas, non-autocorrelation test and normality test, followed by analysis using regression analysismoderation. The results showed that, application of good corporate governance is proxied by ManagerialOwnership (X1), Proportion of Independent Commissioner (X2), Audit Committee (X3), Independence of theAudit Committee (X4), Frequency of Audit Committee Meetings (X5) and the frequency of Board Meeting(X5) simultaneously significant effect on firm value (Tobin’s Q). With the results of R Square of 61.1% meansthat the variable Tobin’s Q (Y) in the six variables explained by the moderating variable of Corporate SocialResponsibility (Z). While the remaining 38.9% is explained by other variables or independent variables outsidethe regression equation.
ANTESEDEN KINERJA: DAMPAKNYA TERHADAP OCB KARYAWAN BRI SYARIAH KANTOR CABANG MALANG S, Achmad Sani
IQTISHODUNA IQTISHODUNA (VOL 9, NO 2.
Publisher : Fakultas Ekonomi, UIN Maliki Malang

Show Abstract | Download Original | Original Source | Check in Google Scholar | Full PDF (144.94 KB) | DOI: 10.18860/iq.v9i2.3563

Abstract

Little empirical research has looked at casual relationships between transformational leadership,trust and performance impacts on the OCB. Also there is minimal attention to the impact of specific facet oftransformational leadership, trust and performance on OCB of employee BRI Syariah Malang. The purpose ofthis study was to investigate casual relationships through testing path analysis model. This is explanatoryresearch which has goal o test defined hypothesis on the influence of of transformational leadership, trust andperformance toward the OCB of employee. The research population involved 58 employee of BRI SyariahMalang. Quistionnaire is used as research instruments in this research.The result of the research analysisproves transformational leadership, trust and performance give significant influence on the OCB employee.Based on finding, it si further suggested that leader on BRI Syariah Malang should give more attention to thetransformational leadership, trust and performance. The result of this research proves that transformationalleadership, trust and performance give significant influence on OCB.
MEMBUDAYAKAN PERILAKU HIJAU DI KALANGAN PEKERJA: DARI SUDUT THE GREEN FIVE TAXONOMY Abdull Razab, Muhamad Firdaus; Udin, Zulkifli Mohamed
IQTISHODUNA IQTISHODUNA (VOL 10, NO 1.
Publisher : Fakultas Ekonomi, UIN Maliki Malang

Show Abstract | Download Original | Original Source | Check in Google Scholar | Full PDF (105.063 KB) | DOI: 10.18860/iq.v10i1.3574

Abstract

Green practices in the organization’s environment is seen as one way of educating the workers tocontinue this practices into their living environment. Environmental issues has become a buzzword in thepresent because the incident that occurred and give impact such as global warming, landslides, air pollutionas well as pollution of the river which is now happen throughout the world. Based on a content-based modelfor green behaviour among workers to ensure environmental behavior to keep the sustainability. This taxonomyconsists of five parts, namely: avoiding harm, conserving, working sustainability, influencing others andtaking initiative.
PEMBENTUKAN PORTOFOLIO OPTIMAL SAHAM INDEKS LQ-45 DAN JAKARTA ISLAMIC INDEX (JII) Rahadjeng, Erna Retna
IQTISHODUNA IQTISHODUNA (VOL 10, NO 2.
Publisher : Fakultas Ekonomi, UIN Maliki Malang

Show Abstract | Download Original | Original Source | Check in Google Scholar | Full PDF (119.836 KB) | DOI: 10.18860/iq.v10i2.3586

Abstract

This research is a case study conducted in EfekIndonesia Exchange under the title ”Determinationof Optimal Portfolio shares and shares of LQ45 JII”. The purpose of this study is to identify the combinationof shares and the amount of the proportion of funds that can form the optimal portfolio and to determine thelevel of risk and return of the optimal portfolio is formed. Sampling method in this study, namely purposivesampling. The criteria in this study is that stocks are always included in the index and the index JII LQ45 overthe study period. The method used in determining the optimal portfolio is the single index model. The conclusionof this research is that there are three stocks, and four 45 LQ JII stocks that can form the optimal portfolio,which shares BNII, AALI, and UNSP for LQ 45, while for the stock is AALI JII, KLBF, TLKM, and INCO. Riskportfolio of 45 stocks LQ 1.635116% with a repayment rate of 0.639931%, while the risk portfolio of stocks JII-0.0194424% with portfolio returns of 0.191527%. Thus, the purpose and formulation of the problem unanswered.
PENGARUH KINERJA KEUANGAN PERBANKAN BERDASARKAN ANALISIS CAMELS TERHADAP HARGA SAHAM DENGAN CSR SEBAGAI VARIABEL INTERVENING Sulhan, Muhammad; Halimah, Dewi Nur
IQTISHODUNA IQTISHODUNA (VOL 9, NO 2.
Publisher : Fakultas Ekonomi, UIN Maliki Malang

Show Abstract | Download Original | Original Source | Check in Google Scholar | Full PDF (279.531 KB) | DOI: 10.18860/iq.v9i2.3569

Abstract

" CAMELS method, as a standart of Bank of Indonesia to asses bank health, is employed to ratebanking health. Moreover, companies is eager to implement CSR program as a hidden way to attract publicattention. This study aims to identify and analyze the direct influence of financial ratios such as CAR, KAP,NPM, ROA, ROA and LDR on CSR and the direct influence of CAR ratio; KAP, NPM, ROA, BOPO, LDR andCSR on stock prices; and indirect influence of CAR, KAP, NPM, ROA, ROA and LDR ratios to the stock pricewith CSR as an intervening variable. The population in this study are 29 banks which has go public in theIndonesia Stock Exchange and the sample in this study are 10 banking companies. The results of the studywith 5% level of significance shows that 76.4% information contained in the data can be explained by themodel. While the diversity of the remaining 23.6% is explained by other variables. The result of partial assayshows that only ROA and LDR which have significant influence on CSR. In contrast, CAR, KAP, NPM, ROAand LDR have no significant influence on CSR. The partial influence of CAMELS on stock prices only CARand KAP which have no significant influence on the go public company’s stock price. While NPM, ROA,ROA, LDR and CSR have significant influence on the stock prices. And for the indirect influence, only ROAand LDR which have indirect influence on stock prices through CSR.
PENGARUH KUALITAS LAYANAN TERHADAP LOYALITAS MELALUI KEPUASAN KONSUMEN PENGGUNA JASA TRANSPORTASI UDARA RUTE PALANGKA RAYA - JAKARTA Meitiana, Meitiana
IQTISHODUNA IQTISHODUNA (VOL 10, NO 1.
Publisher : Fakultas Ekonomi, UIN Maliki Malang

Show Abstract | Download Original | Original Source | Check in Google Scholar | Full PDF (214.439 KB) | DOI: 10.18860/iq.v10i1.3580

Abstract

The increase in number of airlaines industry in Indonesia has caused price competition betweenairlines company, especially for the Palangka Raya - Jakarta route. In order to survive in this industry, theairlines company has made efficiency toreduce the costs. As thr result, service quality became lower, and it willaffecting consumer satisfaction. The objectives of this research are to analyze the effect of service qualitytowards loyalty through consumer satisfaction. This study used quantitative research method, the datacollection used questionnaires and scoring technique used Likert scale. The sample was 100 respondents.This correlation study aims to measure the effects of a particular variable towards other variables. The dataprocessing was analyzed by using Structure Equation Modeling (SEM) with Partial Least Square (PLS) software.The test results of the three hypotheses with PLS software indicated that the two hypotheses were acceptedand the one hypotheses were rejected. Service quality had significant effect towards consumers satisfaction.While consumers satisfaction had not insignificant effect towards loyalty. Then service quality had significanteffect toward loyalty.
INTELIJENSI PEMASARAN DALAM UPAYA MEMPERTAHANKAN KEUNGGULAN KOMPETITIF Syukron, Miftahus; Slamet, Slamet
IQTISHODUNA IQTISHODUNA (VOL 9, NO 2.
Publisher : Fakultas Ekonomi, UIN Maliki Malang

Show Abstract | Download Original | Original Source | Check in Google Scholar | Full PDF (154.054 KB) | DOI: 10.18860/iq.v9i2.3564

Abstract

ne" Marketing intelligence is very important for a company to maintain its competitive advantage inorder to face industrial competition. So, if it is done optimally, the information about competitors data can thenbe achieved and the company can make a decision related to the information. In reality great scale company,which is the object of the research, implement marketing inteligence based on intelligence activities, sources,and factors. Therefore, the company has to adopt the marketing intelligence system to face existing industrialcompetition and be able to apply it as the procedure. The result shows that: 1) The marketing intelligenceemployed by great scale companies uses competitive advantage planning and customer value analysis inobserving its competitor. 2) The marketing intelligence source employed by great scale companies uses twosources, company environment (internal) and outside environment of the company (external). 3) Marketingintelligence factor employed by great scale companies uses 3 factors. First, the observation of 6 main competitordata including competitor’s products, price, promotion, strategy, sale, and other data.Second, competitiveadvantage factor emphasizing on information processing related to competitor’s innovation such as productquality. Third, the salesman factor who employs person in the company to do marketing intelligence in whichthe company ability is very important in these factors application.