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INDONESIA
JAM : Jurnal Aplikasi Manajemen
Published by Universitas Brawijaya
ISSN : 16935241     EISSN : 23026332     DOI : -
Core Subject : Science,
Jurnal Aplikasi Manajemen - Journal of Applied Management (JAM) publishes all forms of quantitative and qualitative research articles and other scientific studies related to the field of functional management (marketing, finance, human resources, and operations) as well as the applied management and a wide range of applications.
Arjuna Subject : -
Articles 20 Documents
Search results for , issue "Vol. 14 No. 2 (2016)" : 20 Documents clear
The influence of Voluntary Disclosure, Asymmetri Information, Stock Risk, Firm Size and Institutional Ownership Towards Cost of Capital (COC) Fahdiansyah, Restu
Jurnal Aplikasi Manajemen Vol. 14 No. 2 (2016)
Publisher : Universitas Brawijaya, Indonesia

Show Abstract | Download Original | Original Source | Check in Google Scholar | Full PDF (220.906 KB) | DOI: 10.18202/jam23026332.14.2.20

Abstract

Abstract: This study aims to determine the influence of the information toward the decisions taken by investors based on the theory of Efficient Markets Hypothesis (EMH), which is expressed by Fama (1970),by examining the influence of several independent variables towards the cost of capital (COC). Independent variables were used to reflect information, including voluntary disclosure, information asymmetry, risk stock, firm size and institutional ownership. This study used purposive sampling technique in conducting sample of the 131 manufacturing companies listed on the Indonesia Stock Exchange in 2011, which produced 75 research samples. This study used the linear regression to analyze the data. The results of this study indicate that there is an influence of the informationtoward the decision making of investors, which is seen from the simultaneous test results that show all variables simultaneously influencing the COC. The results also indicate that voluntary disclosure variables, the risk of the stock, and the firm size are partially influencing the COC, whereas the information asymmetry variables and institutional ownership are partially show no influence on the COC.
Kajian Ekonomi Model Pengelolaan Sumberdaya Perikanan Cakalangdi Pantai Utara Aceh Naufal, Agus; Kusumastanto, Tridoyo; Fahrudin, Achmad
Jurnal Aplikasi Manajemen Vol. 14 No. 2 (2016)
Publisher : Universitas Brawijaya, Indonesia

Show Abstract | Download Original | Original Source | Check in Google Scholar | Full PDF (130.475 KB) | DOI: 10.18202/jam23026332.14.2.03

Abstract

Abstract: Overfishing has made marine resources will be exhausted in the future, consequently this resource must be managed properly. Good fisheries management should consider many aspects. Therefore, this study aims to identify the policy and the relationship between the sub-systems of ecological, economic, and social aspects, as well as to calculate the financial feasibility of Skipjack fishery on the north beach of Aceh. The method used in this study were dynamic analysis, and feasibility analysis. The results showed in the long term based on the total allowable effort policy simulation and additional effort restrictions, the optimal management policy that gives the biggest economic rent is Rp. 40.329 billion will be achieved in 2033 with a total production of 3,191 tons per year. Skipjack fishing sector is still able to absorb workers without excessive depletion with the enforcement policy of limiting the addition of effort. Dynamic analysis showed that optimal and sustainable Skipjack resource management should be limited at the level of maximum economic rent then an increase of 20 percent effort per year can be added until the level of sustainable effort. NPV is Rp. 2.311 billion and the value of Net Benefit-Cost Ratio (Net B/C) is 1.97, indicating that investment of Skipjack purse seine vessels 40 GT on the North Beach of Aceh is feasible.
Analisis Karakteristik Obligasi terhadap Return Obligasi pada Sub Sektor Perbankan Tahun 2010-2013 Herlambang, Resandy; Nuryartono, Nunung
Jurnal Aplikasi Manajemen Vol. 14 No. 2 (2016)
Publisher : Universitas Brawijaya, Indonesia

Show Abstract | Download Original | Original Source | Check in Google Scholar | Full PDF (189.936 KB) | DOI: 10.18202/jam23026332.14.2.09

Abstract

Abstract: Corporate bond markethas dominated by banking sub-sector. This bond issue can not be separated for strengthening the capital structure of banking sub-sectoritself. Meanwhile, the net interest margin has decreased over the last few years, it will affect to their profit. This study aims to analyze the characteristics of bonds play an important role in influencing the return of the bonds on the banking sub-sector. Data were processed by using panel data, which consists of 14 bonds and using quarterly data from 2010–2013. According to the results of Hausman test, this study uses the random effect method. The results showed that the yield to maturity, interest rate, and duration had a significant influence on the bond return, while the bond rating and debt to equity ratio do not have effect on bond return.
Indikator Membangun Good Cooperative Governance, untuk Menumbuhkan Kepercayaan Masyarakat terhadap Koperasi, Studi di Kota Medan Nainggolan, Karlonta; Parulian, Tohap; Siregar, Ali Usman
Jurnal Aplikasi Manajemen Vol. 14 No. 2 (2016)
Publisher : Universitas Brawijaya, Indonesia

Show Abstract | Download Original | Original Source | Check in Google Scholar | Full PDF (229.038 KB) | DOI: 10.18202/jam23026332.14.2.15

Abstract

Abstract:this study aims to identify indicators to develop GCG, basedon principles and values of cooperative. Data were analized by second order CFA, then interpreted with Important Performance Analysis. We use high λ ≥ 0.50 and high x ≥ 3.50 to measure the level of understanding and application of indicators. The result of analysis indicate, six out of twenty indicators, are pretended to be unimportant factors by most of Managers, ten indicators are indicated as important indicators, but its implementation is still low, while four indicators are already running well. Learning from the result of analysis, and what we tried to understand during the research, as well as information and recommendation gathered from FGD, we concluded that to developed GCG based on cooperative principles and values, are education, and character building for all stakeholders 
Perancangan Model Peningkatan Kapasitas Sumber Daya Manusiadi Bank Perkreditan Rakyat (BPR) Sayekti, Andita; Kartika, Lindawati
Jurnal Aplikasi Manajemen Vol. 14 No. 2 (2016)
Publisher : Universitas Brawijaya, Indonesia

Show Abstract | Download Original | Original Source | Check in Google Scholar | Full PDF (1030.208 KB) | DOI: 10.18202/jam23026332.14.2.04

Abstract

Abstract: The problem of inefficiency faced by Rural Banks is caused by non optimal human resource's performance. There are many Rural Banks that have not enough employees, so many employees do double tasks, uncompleted management happened, and low competence-compensations, that obstruct the performance of them. Because of that, the objective of this research is to map the condition of Rural Banks'human resource based on its quality and quantity, identify the policy and strategy of Human Resource Development, evaluate the effectiveness of the rules that exist at Rural Banks, and formulate Rural Banks'cooperation's scheme with others agencies or education institution. This research was held at Jakarta, Bandung, Denpasar, Manado, Medan, Surabaya, and Yogyakarta. The methods of this research were explorative, quantitative description, and qualitative approach, such as field survey, purposive random sampling, and focus group discussion.The results are map of Rural Banks'human resource's condition from its distribution and quality, identification of Rural Bank's human resource's problems, recommendation of recruitment and selection system, analysis of position based on competency and its standard, recommendation of training, curriculum's scheme, recommendation of compensation, and cooperation with others agencies/education institution that provide labor that are ready to be used by Rural Banks.
Analisis Pengaruh Kebijakan Pembatasan Loan to Value terhadap Return dan Risiko Saham Perbankan di BEI Tahun 2012-2013 Purnama, Riony Rihardhika; Andati, Trias
Jurnal Aplikasi Manajemen Vol. 14 No. 2 (2016)
Publisher : Universitas Brawijaya, Indonesia

Show Abstract | Download Original | Original Source | Check in Google Scholar | Full PDF (83.762 KB) | DOI: 10.18202/jam23026332.14.2.10

Abstract

Abstract: This studyis conducted on the basis of the implementation of monetary policy issued by Indonesia Bank for home loans. The main purpose of this research is to analyze the effect of policy implementation by Bank Indonesia on loan to value restriction to mortgages on June 15, 2012 and September 30, 2013 to the banking stock return, measured by abnormalreturn and risk premium. Data on this research is secondary data collected from Indonesian Stock Exchange. The sample is stock from 10 national banks that listed banks serving mortgage. Event study analysis is used to analyse the information content from the announcement, in combination with abnormal return as measurement indicator. This study finds that the policy implementation on September 30, 2013 has information content becausethere is significant difference between trading volume activity before and after the event but there is no significant difference between the average abnormal return before and after policy implementation on June 15, 2012 and September 30, 2013. GARCH in Mean model is used to analyse difference in the level of the risk premium after the policy implementationin 2012 and the implementation of policies in 2013. This study found as many as 6 of the 10 listed banks sampled showed a decrease in the coefficient of the risk premium as compared to coefficients of the risk premium in 2012.
Pengaruh Corporate Social Responsibility terhadap Nilai Perusahaan dengan Ukuran Perusahaan dan Jumlah Dewan Komisaris sebagai Variabel Pemoderasi (Studi pada Perusahaan Manufaktur yang terdaftar Bursa Efek Indonesia) Putri, Ayu Kemala; Sudarma, Made; Purnomosidhi, Bambang
Jurnal Aplikasi Manajemen Vol. 14 No. 2 (2016)
Publisher : Universitas Brawijaya, Indonesia

Show Abstract | Download Original | Original Source | Check in Google Scholar | Full PDF (143.893 KB) | DOI: 10.18202/jam23026332.14.2.16

Abstract

Abstract: This study aims toanalyze the effect of CSR on firm value by examining the size of the company and the number of commissioners as a moderating variable. The population in this study is a manufacturing company that go public in the Indonesia Stock Exchange for the year 2012 which amounts to 131 companies. The samples used purposive sampling method with the approach of Judgment Sampling by the number of observed sample as many as 79 companies.Analysis of the data in this study using MRA (moderated regression analysis).The results showed that the value of the company is not affected by the Corporate Social Responsibility. the value of the companywill be affectedby corporate social responsibilityto be moderated by the size of the company and the number of commissioners. In the practice of Corporate Social Responsibility, is necessary alignment of the implementation of the substance of social welfare and environmental protect on so that in the long term will give a value for the company. In addition, have to balance between the number of commissioners and management, this is done to effectively perform its functions in terms of communicationcoordination and decision-making related to corporate social responsibility 
Studi Usaha Perikanan di Kawasan Terumbu Pulau Sagori Sulawesi Tenggara Afyudi, Bobby; Fahrudin, Achmad; Susanto, Handoko Adi
Jurnal Aplikasi Manajemen Vol. 14 No. 2 (2016)
Publisher : Universitas Brawijaya, Indonesia

Show Abstract | Download Original | Original Source | Check in Google Scholar | Full PDF (247.724 KB) | DOI: 10.18202/jam23026332.14.2.05

Abstract

Abstract: Sagori island waters is rich of coral reef and reef fish with high economic value. It's has also been designated as a general use zone by the government. In the other side, the needs of consumption is increasing by the growth of people in the Island and neighbours as well. Those condition, presumed as the main factor for fisherman to increase their effort in catching the reef fishes, in any possible way. However, Visual Census technique (VCT) shows that that the number of reef fish was spread evenly on a coral reef condition is still good enough, but are not in a reverse condition. That is then presumed as the static production value of coral reef ecosystem (SPV). The economic value of coral reefs per hectare in Sagori Islands is shown based on Present Value Generated per Hectare (PV) which state that people in Sagori Island has just use about 56.99% of the resources. By cash flow analysis within projected to 10 years ahead, this fisheries business unit shows that it is still good to be performed.
Faktor-Faktor yang Mempengaruhi Kepuasan Konsumen dalam Upaya Meningkatkan Pembelian (Studi di Travel PT Anugrah Tanjung Tabalong) Harlie, M.
Jurnal Aplikasi Manajemen Vol. 14 No. 2 (2016)
Publisher : Universitas Brawijaya, Indonesia

Show Abstract | Download Original | Original Source | Check in Google Scholar | Full PDF (83.987 KB) | DOI: 10.18202/jam23026332.14.2.11

Abstract

Abstract: This study aims to determine: (1) perceptions influence on customer satisfaction on the service of PT. Anugerah Tanjung Tabalong; (2) actual performance influence on customer satisfaction on the service of PT Anugerah Tanjung Tabalong; (3) Customer expectations influence on satisfaction on the service quality of PT Anugerah Tanjung Tabalong; (4) Satisfaction influences on customer purchasing decisionsof PT Anugerah Tanjung Tabalong. This study was performed at PT Anugerah Tanjung Tabalong. The method used was descriptive quantitative. The population of this research was the service users of PT Anugerah Tanjung Tabalong.The study sample was 50 respondents by purposive sampling. Data collection was done by using survey and questionnaire. Data were analyzed usingmodel of Partial Least Square (PLS) with t-test using smart PLS version 2.0.M3 software. The result shows that: (1) consumer perceptions Affect the customer satisfaction amounted to 0.681 greater than loading value above 0.50, it means that there is significant influence perception variables on customer satisfaction on PT Anugerah Tanjung Tabalong Travel; (2) the actual performance influence customer satisfaction is 0.823 greater than loading value above 0.50, it means that there is a significant influence of  behaviour variable toward the quality of service of PT Anugerah Tanjung Tabalong; (3) the customer expectation which influences the customer satisfaction is 1.054 greater than loading value above 0.50, it means that there is a significant influence customer expection variable on costumer satisfaction of PT Anugerah Tanjung Tabalong Travel. The results showed that the existence of significant influence between customer perception, actual performance, and customer expectation on customer satisfaction that may in turn increase consumer purchases at PT Anugerah Tanjung Tabalong Travel.
Analisis Variabel-Variabel yang Mempengaruhi Kebijakan Dividen (Studi pada Perusahaan Manufaktur yang Terdaftar di Bursa Efek Indonesia) Deni, Febrianto Frans; Aisjah, Siti; Djazuli, Atim
Jurnal Aplikasi Manajemen Vol. 14 No. 2 (2016)
Publisher : Universitas Brawijaya, Indonesia

Show Abstract | Download Original | Original Source | Check in Google Scholar | Full PDF (160.08 KB) | DOI: 10.18202/jam23026332.14.2.17

Abstract

Abstract: This study aims to find out how Managerial Ownership, Institutional Ownership, Leverage, Company Size, Profitability, and Investment Opportunity influence on Dividend Policy. The population of this study is a manufacturing company that is listed on the Indonesia Stock Exchange Period 2007 to 2011 as many as 203 companies. This study used population criteria methodand obtained saturation samples from 32 companies. The data used are secondary data and methods of analysis is multiple regression analysis. The results showed that Institutional Ownership, Firm Size and Profitability has a positive influence, while Managerial Ownership has a negative but insignificant influence on dividend policy. Leverage has a negative influence while Investments Opportunity has a positive and significan influence on dividend policy. The conclusion of this study is a manufacturing company that has a high leverage will hold most of its earnings to repay debt and or for further fund projects so the company is able to maintain balance its capital structure in order to remain optimal. Manufacturing companies that have high profitability will provide a high dividend payments to give a signal to investors that the company foresees good profitability in the future 

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