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Economic Journal of Emerging Markets
ISSN : 20863128     EISSN : 2502180x     DOI : -
Core Subject : Economy,
The Economic Journal of Emerging Markets (EJEM) is a peer-reviewed journal which provides a forum for scientific works pertaining to emerging market economies. Published every April and October, this journal welcomes original research papers on all aspects of economic development issues. The journal is fully open access for scholarly readers.
Arjuna Subject : -
Articles 589 Documents
Pengaruh pengelolaan data dengan komputer dalam pengawasan akuntasi Prapti Antarwiyati
Economic Journal of Emerging Markets Volume 3, 1994
Publisher : Universitas Islam Indonesia

Show Abstract | Download Original | Original Source | Check in Google Scholar | DOI: 10.20885/ejem.v3i0.6589

Abstract

Pada prinsipnya pengolahan data dengan manual maupun dengan komputer menggunakan siklus yang sama. Pengolahan data dengan manual maupun dengan komputer terdapat beberapa hal yang memberikan kemudahan bagi perusahaan.
CHALLENGE FOR ASEAN-CHINA FREE TRADE AGREEMENT ON INDONESIA EMPLOYMENT Fatimah Riswati; Indro Warsito
Economic Journal of Emerging Markets Volume 2 Issue 1, 2010
Publisher : Universitas Islam Indonesia

Show Abstract | Download Original | Original Source | Check in Google Scholar | DOI: 10.20885/vol2iss1aa2387

Abstract

This research analyzes the challenges for Indonesian economy towards the implementation ofASEAN-China Free Trade Area (ACFTA) especially on employment opportunity in Indonesia.Using regression technique, the labour cost and change in fix capital are statistically significant ininfluencing the employment opportunity. This result implies that ACFTA will challenge the Indonesiancompetitiveness due to increasing labour cost, while ACFTA also potentially increases capitalflow from China which has ambiguous impacts on labour absorption. The SWOT (Strength,Weakness, Opportunity and Threat) analysis recommends for Indonesian government to improvecomprehensive strategy of national industry to be more competitive to China products.Keywords: ACFTA, employment opportunity, structural equation modelJEL classification numbers: F13, F14, F15, F42
Beberapa Karakteristik Umum Pertumbuhan Enam Kota Besar di Indonesia Tahun 1980 – 2000 Asih Sriwinarti
Economic Journal of Emerging Markets Vol. 10 No. 1 (2005)
Publisher : Universitas Islam Indonesia

Show Abstract | Download Original | Original Source | Check in Google Scholar | DOI: 10.20885/ejem.v10i1.606

Abstract

Using six big city as analysis units, this research try to predict the pattern of the city growth in periode 1980 – 2000, in Indonesia. The analysis tool which used to see the city growth in primacy index. Beside that, this research also analyze some factors that influence city growth using panel data analysis.This research found (1) There was an inclination unbalance city growth in 1980 – 2000. From the year 1980 to the year 2000, Jakarta has been the city with the highest growth level. This condition is strengthen by a circumstance where Jakarta has entered highest transition level, which called the advanced urban transition. (2) Population, per capita income, and industrialization give positive impact to the city growth. (3) Educational degree and spillover effect from other regions give negative impact to the city growth.Key Words: Urban Growth, Index Primacy, Urban Transition
Pengaruh krisis moneter terhadap pola dan tingkat konsumsi petani karet M. Basir Kimin
Economic Journal of Emerging Markets Vol 6, No 2 (2001)
Publisher : Universitas Islam Indonesia

Show Abstract | Download Original | Original Source | Check in Google Scholar | DOI: 10.20885/ejem.v6i2.6987

Abstract

The monetary crisis reflected in low change rate of rupiah towards US dollars which is eventually followed by the raising of prices gives effect to disposable and real income rate pattern and level of people's consumption.
Perubahan lingkungan dan implikasinya pada struktur organisasi Murdiyono Triwidodo
Economic Journal of Emerging Markets Volume 4, 1994
Publisher : Universitas Islam Indonesia

Show Abstract | Download Original | Original Source | Check in Google Scholar | DOI: 10.20885/ejem.v4i1.6619

Abstract

Organisasi senantiasa berinteraksi dengan lingkungan. Ini bisa diterima bila kita melihat organisasi sebagai bagian dari sistem yang lebih besar, yaitu sistem lingkungan di luarnya. Perubahan yang terjadi pada lingkungan perlu dicermati sebab seringkali perubahan itu relevan dan berpengaruh pada organisasi.
PHYSICAL CHARACTERISTICS AND DISASTER RISK PERCEPTION CORRELATION AT BANTUL REGENCY Suryanto; Mudrajat Kuncoro; Junun Sartohadi
Economic Journal of Emerging Markets Volume 4 Issue 1, 2012
Publisher : Universitas Islam Indonesia

Show Abstract | Download Original | Original Source | Check in Google Scholar | DOI: 10.20885/ejem.v4i1.3177

Abstract

This paper analyses the correlation between vulnerable areas and resident's risk perception. For such purpose, it uses descriptive and correlation analysis. The mapping of the vulnerable area is based on the vulnerability levels, which were analyzed with the Geographical Information System (GIS). The GIS and correlation analysis show that education level and income rate of the respondents have negative correlations with level of vulnerability in the area. The perception index has a positive correlation with level of vulnerable in the area. These results are different from the degree of the risk averse variable that does not significantly correlate with the level of hazardous area. Keywords: earthquake risk perception, economic valuation, GISJEL Classification Numbers: Q54, R29AbstrakMakalah ini menganalisis korelasi antara daerah yang rentan bencana dan persepsi mereka terhadap risiko.Penelitian ini menggunakan metode analisis deskriptif dan korelasi. Pemetaan daerah rawan didasarkan pada tingkat kerentanan, yang dianalisis dengan Sistem Informasi Geografis (SIG). Hasil analisis menunjukkan bahwa tingkat pendidikan dan tingkat pendapatan responden memiliki korelasi negatif dengan tingkat kerentanan di daerah. Indeks Persepsi memiliki korelasi positif dengan tingkat kerentanan suatu daerah. Hasil ini berbeda dengan tingkat risiko variabel yang tidak signifikan berkorelasi dengan tingkat daerah bahaya.Keywords: Persepsi risiko gempa bumi, penilaian ekonomi, SIGJEL Classification Numbers: Q54, R29
Hubungan Antara Perkembangan Sektor Keuangan dengan Volatilitas Ekonomi di Indonesia Romi Mulyadi H.
Economic Journal of Emerging Markets Vol. 9 No. 1 (2004)
Publisher : Universitas Islam Indonesia

Show Abstract | Download Original | Original Source | Check in Google Scholar | DOI: 10.20885/ejem.v9i1.622

Abstract

The study is conducted to analyze the causal relationship between financial sector development and economic volatility in Indonesia during the period of 1983.2-2000.4. The study uses three kinds of variables as proxies to the financial sector development. Whereas in order to measure economic volatility, the study uses standard deviation of GDP growth derived from Generalized Autoregressive Conditional Heteroscedasticity model (GARCH).The causality test is done using Granger-causality test. If the estimated variables are not stationary, yet cointegrated, thus the causality test will be in Error Correction Model (ECM). If the estimated variables are neither stationary nor cointegrated, thus the causality test will use all variables in the ffirst difference. The result shows that there is a Granger-causality in the short run from financial development to the economic volatility when the ratio of broad money and the ratio of banking credit to GDP are used. Meanwhile, when the ratio of demand deposit to narrow money is used, there is no granger-causality relationship between financial sector development and economic volatility.Keywords: GARCH, financial sector development, economic volatility, granger causality.
Utang luar negeri dan pendanaan pembangunan nasional Edy Suandi Hamid
Economic Journal of Emerging Markets Volume 6, 1995
Publisher : Universitas Islam Indonesia

Show Abstract | Download Original | Original Source | Check in Google Scholar | DOI: 10.20885/ejem.v6i1.6638

Abstract

Berbicara tentang sumber pendanaan pembangunan nasional, maka paling tidak secara garis besar dapat diklasifikasikan menjadi dua bagian, yakni yang berasal dari dana masyarakat/swasta dan pemerintah. Yang berasal dari swasta ini dapat dibagi pula manjadi swasta dalam negeri dan swasta asing, yang tercermin dari penamaan modal dalam negeri (PMDN) dan penanaman modal asing (PMA).
PROSPECT OF INDONESIA BLACK AND WHITE PEPPERS EXPORT Tavi Supriana; Chicka Willy Yanti
Economic Journal of Emerging Markets Volume 5 Issue 1, 2013
Publisher : Universitas Islam Indonesia

Show Abstract | Download Original | Original Source | Check in Google Scholar | DOI: 10.20885/ejem.vol5.iss1.art1

Abstract

AbstractThis study analyzes the behavior of pepper exports, consisting of black pepper and white pepper, to various destination countries. The results of this study showed that black pepper exports affected by the destination country's gross domestic product (GDP), the price of white pepper, the population of the country of destination and the exchange rate against the dollar. Meanwhile, white pepper exports affected by the destination country's GDP, the population of the country of destination, the price of black pepper, white pepper prices and the exchange rate against the dollar. The results also showed that black pepper and white pepper are not mutually substituted.Keywords: pepper, exports, GDP, population, exchange rate JEL Classificaiton Numbers: F14, F19AbstrakPenelitian ini menganalisis perilaku ekspor lada, terdiri dari lada hitam dan lada putih, ke berbagai negara tujuan. Hasil penelitian ini menunjukkan bahwa ekspor lada hitam dipengaruhi oleh Pendapatan domestik bruto (PDB) negara tujuan, harga lada putih, populasi negara tujuan dan nilai tukar rupiah terhadap dolar. Sementara itu, ekspor lada putih dipengaruhi oleh PDB negara tujuan, populasi negara tujuan, harga lada hitam, harga lada putih dan nilai tukar rupiah terhadap dolar. Hasil penelitian juga menunjukkan bahwa lada hitam dan lada putih tidak saling bersubstitusi.Keywords: Lada, ekspor, PDB, populasi, kursJEL Classificaiton Numbers: F14, F19
Tingkat Kesetaraan Gender Ingkat Kesetaraan Gender Pada Industri Kulit Di Propinsi Daerah Istimewa Yogayakarta Unggul Priyadi; Budi Astuti
Economic Journal of Emerging Markets Vol. 8 No. 1 (2003)
Publisher : Universitas Islam Indonesia

Show Abstract | Download Original | Original Source | Check in Google Scholar | DOI: 10.20885/ejem.v8i1.639

Abstract

Leather industry is one of small industries in Special Yogyakarta Province which contributes Regional Gross Domestic Product (PDRB) and generates employment. This re¬search analyzes cross section data in 2000th using purposive sampling method for data col¬lecting. Data analysis is Gender Inequality and Equivalent Index (IKKG) and Logit Model. Based on the empirical analysis, conclusions of this research are: 1) IKKG of entrepreneur leathers who have Educational Elementary School (SD), SMP, and SMA is 0 (zero). IKKG of the Leather Industrial person according to educational background is only female who has high education, with the value of 1, on the other hands the lower level education background has 0 (zero) value of IKKG. 2) The value of IKKG of the female workers who have SD, SMP, and SMA education background have lower chance to work compared with the male worker. Even that so the chance of SD workers is bigger than that of SMP or SMA workers. 3) The production expansion probability on leather industry is altogether affected by management’s perspectives genders, business managing experience, level of education and mounts of workers. Partially the factors affect it are: business management experience, mount of workers, and application of partnership, and on the other hand   level of education does not affect it.Key words: Gender Inequality and Equivalent Index (IKKG), Logit Model, gender perspectives.

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