cover
Contact Name
-
Contact Email
-
Phone
-
Journal Mail Official
-
Editorial Address
-
Location
Kota semarang,
Jawa tengah
INDONESIA
Jurnal Ilmu Ekonomi ASET
ISSN : 1693928X     EISSN : -     DOI : -
Core Subject : Economy,
Jurnal ASET terbit sejak 1999 merupakan jurnal ekonomi yang menyajikan artikel hasil penelitian empiris terkini yang mencakup Manajemen, Akuntansi, dan Studi Pembangunan.
Arjuna Subject : -
Articles 8 Documents
Search results for , issue " Vol 13, No 1 (2011)" : 8 Documents clear
Komitmen, Self-efficacy dan Motivasi: Pengaruh Umpan balik dan Insentif Pada Karyawan Non Manajemen ., Apriwandi
Jurnal Ilmu Ekonomi ASET Vol 13, No 1 (2011)
Publisher : Jurnal Ilmu Ekonomi ASET

Show Abstract | Download Original | Original Source | Check in Google Scholar | Full PDF (274.147 KB)

Abstract

Motivating employees to play an important role in the organization’s successand part of this study indicate a positive relationship between commitment, self-efficacyand motivation. This study tested whether financial incentives and the type of feedbackhad an influence on commitment and self-efficacy in improving performance throughtask motivation. In this study, the proposed variables were the dimension of commitment(affective, continuance and normative) and self-efficacy. The contribution of experimentalstudies in the behavioral accounting literature by investigating how a specific type ofperformance feedback and performance-based rewards affected three dimensions ofcommitment and self-efficacy. Also, in the context of research is relatively easy to investigatewhether the prediction is valid to use for lower-level employees. This experimentparticipants consisted of 84 bachelor degree students of Faculty of Economics andBusiness, Gadjah Mada University. This experimental study resulted that performancefeedback and rewards have no effect on the dimensions of commitment and self-efficacyat the lower level employees. Performance feedback was negatively related to the threedimensions of commitment and self-efficacy, whereas performance-based rewards waspositively related to one-dimensional normative commitment. In addition, the motivationwas not significantly related to two of the three dimensions of commitment and self-efficacy.Normative commitment was significantly positively related to employee job motivationlevel. The implications of this research illustrates that control mechanisms do not goincreasing the commitment and self-efficacy of employees and increased employeemotivation. And the design of incentives and feedback can improve employee performance.Keywords: commitment. self-efficacy, motivation; feedback and incentives
Faktor-Faktor yang Mempengaruhi Pemilihan Karir Akuntan Publik dan Non Akuntan Publik Merdekawati, Dian Putri; Sulistyawati, Ardiani Ika
Jurnal Ilmu Ekonomi ASET Vol 13, No 1 (2011)
Publisher : Jurnal Ilmu Ekonomi ASET

Show Abstract | Download Original | Original Source | Check in Google Scholar | Full PDF (145.985 KB)

Abstract

The purpose of this study was to determine whether there was influencethe selection of a career as a public accounting, corporate accountant, accountants,educators, and government accountants of the factors that will be reviewed financialawards, professional training, professional recognition, social values , work environment,labor market considerations and personality. The population in this study were active S1Accounting students at 6 private universiies in Semarang city on six semesters as manyas 200 students. The sample selection was done by using random sampling, the resultingsample of 125 respondents consisting of 35 students of UNISSULA, 35 students of UNIKA,35 of USM students, 35 students of UDINUS, 35 students of UNISBANK, and 25 studentsof WIDYA Manggala School of Economics. The data analysis was conducted in thisstudy by using ANOVA test. The results of this study indicate that there was influence inthe choice of accounting students as a career public accountant, company accountant,accounting educators, and government accountants who reviewed the factors of financialreward, professional training, professional recognition, social values , work environment,labor market considerations and personality.Keywords: financial rewards, professional training, professional recognition, socialvalues †, work environment, labor market considerations, personnel
Pengaruh Kepribadian Konsumen pada Pilihan Merek sebagai Konsep Diri pada Kategori Produk Wardana, Dwiyadi Surya
Jurnal Ilmu Ekonomi ASET Vol 13, No 1 (2011)
Publisher : Jurnal Ilmu Ekonomi ASET

Show Abstract | Download Original | Original Source | Check in Google Scholar | Full PDF (594.603 KB)

Abstract

This research was conducted to see the influence of consumer personalityon brand selection as a self-concept on automobile product category. Avanza, Xenia,Jazz, Innova and Rush are the brand of cars that becomes an object of research. In thisresearch consumer personality consists of four variables and brand personality as selfconceptconsists of two variables. Data was collected by using survey method, and thevalidity test for items of questionnnaire using factor analysis. Then to see the influenceof consumer personality on brand selection as a self-concept on automobile productcategory this study used multiple regression analysis. Anova analysis was used to testevery car owner in the notice of a difference in consumer personality and brandpersonality as a self-concept. The empirical results, in this study a statistical test showedthat consumers used their personality to select the brand identity that match with theconcept itself.Keywords: consumer personality, brand personality, self-concept, automobile product
Pengaruh Kualitas Layanan Inti dan Tambahan terhadap Positive Word of Mouth di SMU Semarang Nuryatno, Yulius Jatmiko
Jurnal Ilmu Ekonomi ASET Vol 13, No 1 (2011)
Publisher : Jurnal Ilmu Ekonomi ASET

Show Abstract | Download Original | Original Source | Check in Google Scholar | Full PDF (252.607 KB)

Abstract

Every company will face tight competition with other companies. One ofthe best efforts to keep and get customers is by managing core service quality, peripheralservice quality and word of mouth. This research was done to examine the influence ofthe core service quality and peripheral service quality to the positive word of mouth. Theobject of the research was students of SMA Sint Louis Semarang. The sampling techniqueused was proportional sampling. The samples were 81 samples. The data collection wasobtained by distributing questionnaire to the students. The data survey was organized byusing regression analysis assisted by SPSS program. The result showed that independentvariable of the core service quality positively and significantly influence the positiveword of mouth, while independent variable of peripheral service quality positivelyinfluence but not significantly to the positive word of mouth. It means the first hypothesis(H1) proposed was accepted. The limitation of the research was because some respondentsdid not answer the open questions, so the researcher hardly finds out the respondents’wants to the service quality expected in SMA Sint Louis.Keywords: core service quality, pheripheral service quality, and positive word of mouth
Analisis Pengaruh Iklan, Kepercayaan Merek, dan Citra Merek terhadap Minat Beli Konsumen Arista, E Desi; Astuti, Sri Rahayu Tri
Jurnal Ilmu Ekonomi ASET Vol 13, No 1 (2011)
Publisher : Jurnal Ilmu Ekonomi ASET

Show Abstract | Download Original | Original Source | Check in Google Scholar | Full PDF (205.073 KB)

Abstract

Globalization era makes information and technologies increase very fastand can be known quickly. One of information technology is the Interconnected Network,or more popular as the Internet. Therefore, to satisfy consumers PT. Telkom issued aproduct called Speedy. Many factors influence customers before purchasing a productconsumers. The purpose of this study is to determine the influence of advertising, brandtrust and brand image to the buying interest. Brand trust is the highest independentvariable that influences the dependent variable (buying interest) then advertising andlastly the brand image.Keywords: advertising, brand trust, brand image, buying interest.
Peningkatan Return Saham dan Kinerja Keuangan melalui Corporate Social Responsibility dan Good Corporate Governance Sugiyanto, Eviatiwi Kusumaningtyas
Jurnal Ilmu Ekonomi ASET Vol 13, No 1 (2011)
Publisher : Jurnal Ilmu Ekonomi ASET

Show Abstract | Download Original | Original Source | Check in Google Scholar | Full PDF (231.898 KB)

Abstract

The purpose of this research was to find an empiric proof and analysisthat stock return and financial performance of the companies could be improved throughCorporate Social Responsibility (CSR) and Good Corporate Governance (GCG) at TheIndonesian Capital Market. Population of this research were companies that go publicat Indonesia Capital Market. Technic Sampling used purposive sampling, and found 62companies. This companies then were divided into two categories (big and small companies)according to its total assets. And the hypotheses were tested using Structural EquationModeling (SEM) with Partial Least Square (PLS) program. The result showed that (1)CSR had a significant positive effect towards stock return in big companies categorized,while small companies categorized had a significant negative effect of it, (2) GCG hadno significant effect towards stock return in both categories, (3) Financial performancehad no significant effect towards stock return in big companies categorized, but it had apositive significant effect towards it in those small, (4) CSR had a significant positiveeffect towards financial performance in big companies categorized, whereas in smallcompanies it could not be found, (5) GCG had no significant effect towards financialperformance in both categories, (6) as well as the GCG had no significant effect towardsCSR in both categories.Keywords: corporate social responsibility, good corporate governance, stock return,and financial performance.
Analisis Perbandingan Harga Saham dan Volume Perdagangan Saham Sebelum dan Sesudah Stock Split Indarti, Iin; Purba, Desti Mulyani BR.
Jurnal Ilmu Ekonomi ASET Vol 13, No 1 (2011)
Publisher : Jurnal Ilmu Ekonomi ASET

Show Abstract | Download Original | Original Source | Check in Google Scholar | Full PDF (229.966 KB)

Abstract

Stock split is one kind of corporate action implemented by companies inorder to rearrange stock price to be at a more liquid range and provide more positivesignal to investor. The stock split carried out on the basis of two theories. According tothe Trading Range Theory, the high stock price is the driving force for the company tosplit its stock with the hope of increasing the liquidity of stock trading, putting the stockon the optimal trading range and will be more and more investors that will be investing.Signaling Theory states that the stock split is the conveyance of information aboutperformance and prospects to the market. The purpose of this research was to analyzethe differences of stock price and stock trading volume activity pre and post stock splitevent, so that investors could use this event to gain benefit. This research used eventstudy method to observe average stock price, and trading volume activity within fivedays pre and post event date. This research used secondary data collected from IndonesianCapital Market Directory ( ICMD) 2007. The data used in research was taken from : 10days announcement date of stock split applied as event date (to), daily closing price, theamount of daily traded share and the amount of listed share. There were 9 companieswhich implemented stock split policy 2007. Results of the study showed that there weresignificant differences of stock price and trading volume activity from pre and post event.Keywords: stock split, stock price, trading volume activity, trading range theory,signaling theory,and event study.
Aplikasi Model GARCH pada Data Inflasi Bahan Makanan Indonesia Santoso, Teguh
Jurnal Ilmu Ekonomi ASET Vol 13, No 1 (2011)
Publisher : Jurnal Ilmu Ekonomi ASET

Show Abstract | Download Original | Original Source | Check in Google Scholar | Full PDF (479.436 KB)

Abstract

In the econometric analysis of time series, data with high volatility will bevery risky to be used as a basis for doing forecasting. Included in this analysis is thevolatility of food inflation in Indonesia. Time series data have a tendency to bully theerror variance (error term) are constant over time. Appropriate econometric model toestimate such behavior is called the Autoregressive Conditional Heteroscedasticity (ARCH)model (Engle, 1982) and the Generalized Autoregressive Conditional Heteroscedasticity(GARCH) model developed by Borreslev 1986. This paper attempts to use models ofARCH / GARCH to explain the behavior of food inflation in Indonesia period 2005.1-2010.6, explained by incorporating elements of ARCH / GARCH this will produce abetter estimation.Keywords: time series data, volatility of food inflation, arch and garch.

Page 1 of 1 | Total Record : 8