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Wacana, Jurnal Sosial dan Humaniora
Published by Universitas Brawijaya
ISSN : 14110199     EISSN : 23381884     DOI : https://doi.org/10.21776/ub.wacana
This journal has a focus on inter and multidisciplinary studies of social sciences and humanities. The scope is the socio-cultural phenomenon, the history, and transformation of society, changes, and stagnation of socio-political institutions, actor orientation, and behavior, the performance of political regimes and socio-economic structures. The scope is not limited by state, nation, temporal duration, certain ideas, and narrow beliefs. This journal is open to various approaches, theories, methodologies, research methods carried out by scientists, academics, researchers and practitioners in the fields and disciplines: economics, social, political science, government studies, international relations, sociology, anthropology, demography, history, religious and cultural studies, philosophy of science, communication science, and development studies.
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ANALISIS PERILAKU KONSUMEN DALAM MEMILIH JASA LAYANAN OPERATOR MOBILE PHONE YANG BERBASIS CDMA DAN GSM Demitri Marvin Kadhaffi; Solimun - -; Armanu - Thoyib
Wacana Journal of Social and Humanity Studies Vol. 13 No. 3 (2010)
Publisher : Sekolah Pascasarjana Universitas Brawijaya

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ABSTRAKS Tujuan penelitian ini adalah (1) menganalisis faktor-faktor yang dipertimbangkan konsumen dalam memilih suatu jasa layanan operator mobile phone (baik CDMA maupun GSM), (2) menganalsis variabel dominan yang mempengaruhi perilaku konsumen dalam memilih jasa layanan operator Jenis penelitian ini adalah applied research dengan metode penelitian studi kausal. Penelitian ini ditujukan pada segmen pelajar dan mahasiswa di Kota Malang yang termasuk kelompok Net Generations (yang lahir antara tahun 1977-1997) dengan batas minimal umur untuk responden adalah 17 tahun.  Kerangka Sampel untuk penelitian ini adalah pengguna kartu CDMA dan GSM sebanyak 175 responden. Tehnik Sampling yang digunakan adalah desain sampel non probability dengan metode purposive sample yang kedua yaitu quota sampling. Metode analisa data yang digunakan adalah analisa faktor dan analisa diskriminan Hasil analisa faktor terhadap 34 variabel diperoleh  7 faktor baru, yang diberi label sebagai berikut : (1) faktor citra produk (2) faktor pelayanan, (3) faktor pengaruh lingkungan, (4) faktor promosi,(5) faktor individual, (6) faktor harga, dan (7) faktor proses. Dari analisa diskriminan diperoleh hasil yang bertentangan dengan hipotesis yaitu ternyata variabel harga bukan merupakan variabel yang dominan dalam membedakan perilaku pelanggan operator CDMA dengan GSM. Mereka lebih sensitif terhadap proses produk. Hal ini mengarahkan pelanggan untuk kalangan pelajar dan mahasiswa sebagai kelompok smart. Hasil penelitian menyimpulkan bahwa untuk membangun keunggulan bersaing operator harus meraih keunggulan posisional melalui diferensiasi “content” jasa yang dihasilkan yaitu berupa proses, sebagai hasil dari aplikasi  positioning produk.   Kata kunci: perilaku konsumen, jasa layanan, mobile phone   ABSTRACT Objective of this research are (1) to identify factors that customer consider in choosing mobile phone operator service (whether CDMA and GSM), (2) to identify dominant variable that influences consumer behavior.  Kind of this research is applied research with a research method of causal study. This research is intended to student and university student segments in Malang City, which these are included into Net Generation group (born between 1977-1997) with age minimal limitation for respondent of 17 years. Sample framework for this research is user of CDMA and GSM cards of 175 respondents. Moreover, for its sample technique used is non-probability sampling with purposive sample method, and the second is quota sampling. Extraction result of 34 variables are seven new factors, which are labeled as follow: (1) product image factor, (2) service factor, (3) environment influence factor, (4) promotion factor, (5) individual factor, (6) price factor, and (7) process factor. From discriminant analysis, the contrary result with the hypothesis is found, that is price variable, rather than dominant variable  in differentiating consumer behavior of CDMA operator to GSM operator. They are more sensitive to product process. Product image to persue  subscriber for student of SMU and university as subscriber “Smart” group. Research result conclude are to build competitive advantage, the operator must be to get positional advantage as differentiation “content” service which result are process, as result from product positioning aplication. Keyword : costumer behaviour, service, mobile phone
KARAKTERISTIK PEMBENTUK MOTIVASI KERJA DAN HUBUNGANNYA DENGAN KEPUASAN KERJA PEGAWAI PADA PEMERINTAH KABUPATEN BADUNG-BALI Ni Putu Nursiani; Armanu - Thoyib; Achmad - Sudiro
Wacana Journal of Social and Humanity Studies Vol. 13 No. 3 (2010)
Publisher : Sekolah Pascasarjana Universitas Brawijaya

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Abstract

ABSTRACT   Basically, the company not only requires capable, competent and skillful employees but the most important thing is that they are willing to work hard and to achieve optimal performance. Employees’ capability, competence and skills would not make any improvement for the company if they are not willing to work hard to apply their capability, competence and skills and if the company gives the opportunity and appreciation for their capability, competence and skills, it would give them satisfaction and the workers will be motivated to work if they receive higher satisfaction from their job. Job satisfaction is very important since most problems occurring in organization, such as strike, demonstration, high level of absenteeism, are generally caused by job dissatisfaction. Therefore the job satisfaction of the employees in the organization should receive attention so as to preserve the healthy working condition and improve job motivation and productivity. This research was aimed at finding the characteristics that build job motivation and its relationship with the govermental employees’ job satisfaction at the Badung Regency. The population in this research is the official from the second, third and fourth echelons in the government office of the Badung Regency, by taking a sample of 100 respondents. Data were collected by distributing questionnaire. The analytic tool used in this research is Structural Equation Modeling (SEM), using the confirmatory technique, which aims at proving the theories in a model. The result of this research shows that individual and organizational characteristics have a positive impact both on the job motivation and job satisfaction while job characteristics have a negative impact on the job motivation and job satisfaction. The results also show that there is no relationship between job motivation and job satisfaction.   Keywords : individual characteristics, job characteristics, organizational characteristics, job motivation, job satisfaction.
ANALISIS PENGGUNAAN STRATEGI GENERIK TERHADAP KINERJA PADA LEMBAGA PENDIDIKAN LUAR SEKOLAH DI KOTA MALANG Ike - Septiyorini; Mohammad - Fatchi; Djumilah - Zain
Wacana Journal of Social and Humanity Studies Vol. 13 No. 3 (2010)
Publisher : Sekolah Pascasarjana Universitas Brawijaya

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ABSTRACTS This study identifies factual description of strategic competition among various Vocational Education Institution in Malang Regency. Using Porter Generic Strategy either partial or combination, this study also reviews Porter Generic Strategy difference that is used partially and in combination with the performance level of the studied vocational education institution. This study is conducted in vocational education institution in Malang Regency eith the number of sample 30 managers from 6 vocational institutions. To ideentify the strategy in vocational education institution based on the use of Porter Generic Strategy, this study used Cluster analyzer method. After being classified base on different strategy among vocational education istitution. Than these strategies are compared by using Manova analysis to find out the performance in vocational education institution. This study indicated that : (1) The vocational education institution applying 13.33% of Difference Strategy from population has excellence in level of students growth; (2) the vocational education institution applying 70.00% of Difference and Focus Strategy from population has average excellence in all performance citeria; (3) The vocational education institution applying 16.66% of Difference and Cost Strategy from population has excellence in level of students growth, the control of operational cost, the control of administration cost, customer (students) recruitment and resources improvement.
ANALISIS REAKSI PASAR MODAL SETELAH PENGUMUMAN INITIAL PUBLIC OFFERING (IPO) PADA PERUSAHAAN YANG TERDAFTAR DI BURSA EFEK JAKARTA Saint - Paulia Y.S; Armanu Thoyib; M. Syafiie - Idrus
Wacana Journal of Social and Humanity Studies Vol. 13 No. 3 (2010)
Publisher : Sekolah Pascasarjana Universitas Brawijaya

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ABSTRACT Stock exchange is a means to acquire capital and accumulate funds, therefore it is important in improving the public’s participation in generating fund so as to support the national development. The meaning of IPO is when the company issues its stocks for the first time in the stock exchange. Therefore an IPO will result in a number of reactions from the capital market, and one of such reactions is return. Purpose of this research was to investigate whether the performance of stock exchanges in Indonesia is decreasing in the long run and whether there exists a difference between short term stock performance and long term stock performance and also the performance of the securities bought in first day’s closing price. The survey method was used in this research. The research belong to deductive-quantitative by tested stock performance in short term and long term period of IPO up to one year. The abnormal return was calculated based on the total stock return, total market value, market adjusted model and relative wealth. The sample was constructed using purposive sampling technique from a population of 43 companies which conducted their IPO in the period from January 2002 up to December 2002 in Jakarta Stock Exchange. The statistic method used here was normality test, in which Kolmogorov-Smirnov Goodness-of-Fit test was first applied and then followed by difference test using one sample t-test and Wilcoxon matched-pair signed rank test. The result of this study showed that for the short term, the first day of trading resulted in positive mean of abnormal return, which turned into negative in the long period. This means that in the short term, the result is outperforming and in the long term the result is underperforming. For the stocks acquired with initial price, the short term and long term performance did not indicate any difference. However, for the stocks acquired with the first day’s closing price, the short term and long term performance for a period of one month was found to be different from the performance of one year. This shows that the significant difference occurred only for the fist day of trading. Keywords: abnormal return, stock performance
ANALISIS PENGARUH DIMENSI SERVQUAL TERHADAP PEMILIHAN JASA TRANSPORTASI UDARA (MASKAPAI PENERBANGAN) RUTE JAKARTA – SURABAYA Shorin Hendarin Prakoso; Armanu - Thoyib; Surachman - -
Wacana Journal of Social and Humanity Studies Vol. 13 No. 3 (2010)
Publisher : Sekolah Pascasarjana Universitas Brawijaya

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Abstract

ABSTRACT The increase in number of airlines industry in Indonesia has caused  price competition between airlines company, especially for the Jakarta – Surabaya route. In order to survive in this industry, the airlines company has made efficiency to reduce the costs. So that, as the result service quality became lower, and it will affecting consumer satisfaction.  The objectives of this research are to analyze the effect of service quality dimension (SERVQUAL), which consist of tangible, reliability, responsiveness, assurance, and empathy, towards consumer concern in choosing air transportation service (airlines industry), for Jakarta – Surabaya route, and to analyze which of those five variables has the dominant effect to the consumer for selecting air transportation service, for Jakarta – Surabaya route. This research took place in Jakarta International Airport, Soekarno – Hatta by using the purposive sampling method, with involving 150 respondents as sample. The F – test and t – test  with α 5 % was used to examined the significance level of variables. The hypothesis was examined by using multiple regression analysis. The result of this research shows that service quality (SERVQUAL) dimension, which consist of tangible, reliability, responsiveness, and assurance has affecting consumer concern partially in choosing air transportation service, for Jakarta – Surabaya route, whereas the empathy doesn’t affecting consumer concern in choosing air transportation service. Among those five variables, the reliability is the dominant factor that affecting consumer concern in choosing air transportation service, for the Jakarta – Surabaya route.
ANALISA PRAKTEK AKUNTANSI KREATIF DALAM KONTEKS BUDAYA ORGANISASI PT. BUMI DAN PANDANGAN ISLAM (KHUSUSNYA AJARAN AMANAH) DALAM MENYIKAPI PRAKTEK TERSEBUT Widarto - -; Made - Sudarna; Zaki - Baridwan
Wacana Journal of Social and Humanity Studies Vol. 13 No. 3 (2010)
Publisher : Sekolah Pascasarjana Universitas Brawijaya

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ABSTRAKS Tuntutan pasar pada perusahaan untuk membuat keuntungan sering menyebabkan praktek akuntansi kreatif, sehingga terjadi penurunan kualitas laporan keuangan yang dihasilkan. Kebijakan yang diambil oleh manajemen selalu menguntungkan pihak majority shareholder sebagai controlling. Budaya kerja telah mempengaruhi praktek akuntansi kreatif perusahaan, hal ini disebabkan adanya tuntutan dan campur tangannya direksi dalam akuntansi. Praktek ini bertujuan untuk mengiliminasi tindakan direksi agar transaksi yang mereka jalankan sesuai dengan kaidah akuntansi yang benar. Dengan demikian bagian akuntansi harus berusaha menyiapkan adanya data-data pendukung transaksi tersebut. Akuntansi kreatif yang dijalankan seputar manajemen laba dan SPE. Praktek manajemen laba maupun SPE lebih mengarah pada praktek yang mementingkan pihak manajemen yang didalamnya ada direksi sebagai controlling. Perilaku ini tidak terlepas dari keberadaan para manajer yang diangkat dan direkrut oleh direksi, sehingga dalam pemahaman amanah, manajer merasa harus loyal pada direksi. Namun jika dilihat dari hakekat amanah yang datangnya dari Allah, maka perilaku manajer maupun direksi diatas telah menunjukan perilaku yang tidak sesuai dengan hakekat amanah yang sesungguhnya. Pengkhianatan amanah merupakan tindakan yang dilarang agama, dan larangan ini hukumnya adalah haram jika dikerjakan.   Kata kunci :   agency theory, budaya,  praktek akuntansi kreatif, dan perilaku amanah.
IMPLIKASI KONTRAK USAHA TANI DENGAN PERUSAHAAN TERHADAP KEBERLANJUTAN USAHA TANI (Studi Pada Komoditi Jagung) Asfi - Manzilati; Ahmad Erani Yustika; Bayu - Krisnamurthi; Agus - Suman
Wacana Journal of Social and Humanity Studies Vol. 13 No. 3 (2010)
Publisher : Sekolah Pascasarjana Universitas Brawijaya

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ABSTRACT   Crops for Indonesia is a strategic commodity for agricultural development. The development of crops bring "strategic burden" to answer the needs of food security and poverty reduction programs. At the same time there is an urgent need and great hopes to the company's to involve in farming contract. While the impact of farming contract on the welfare of farmers still leaves a big question about the sustainability of farming in the long run. Consider to the gap of reality, this study aims to know the implications of contracts with corporate farming toward economy, ecology, and institution to sustainable farming. This research was conducted in Blitar, which is one area of farming contracts between farmers with the company. Using a symbolic interaction perspective, the results showed that the recurrence of contract farming between farmers with companies (large) with the implication (1) economy (increasing farmers' income, the continuity of farming because of the free seeds and standby loan from the company, and increased productivity due to the intense seeding corn planting rules), (2) ecology (lack of obedience to the natural prerequirement associated with the 2:1 formula and the use of fertilizers make the harm of environment, and (3) institutional (meaning a change to the value of life, the transformation of formal rules to informal rules that caused by isolation rules, the shifting value of farm as a social area to businesses area, and the shifting role of the village formal institutions (civil). Implications of economy, ecology, and these institutions in turn have implications for the sustainability of farming Key words : . contract, economy, ecology, institution, continuity of farming contract. ABSTRAK   Palawija bagi Indonesia merupakan komoditas strategis bagi pembangunan bidang pertanian. Pengembangan palawija membawa “beban strategis” untuk menjawab kebutuhan akan program ketahanan pangan dan pengentasan kemiskinan. Pada saat yang sama terdapat kebutuhan yang mendesak dan harapan besar akan keterlibatan perusahaan dalam kontrak usaha tani. Sementara dampak usahatani kontrak terhadap kesejahteraan petani masih menyisakan pertanyaan besar terlebih lagi keberlanjutan usaha tani tersebut dalam jangka panjang. Berpijak pada kesenjangan realita tersebut, penelitian ini bertujuan untuk mengetahui bagaimana implikasi ekonomi, ekologi, dan kelembagaan kontrak usaha tani dengan perusahaan terhadap keberlanjutan usaha tani. Penelitian ini dilakukan di Blitar yang merupakan salah satu wilayah kontrak usaha tani antara petani dengan perusahaan. Dengan menggunakan perspektif interaksi simbolik, hasil penelitian menunjukkan bahwa berulangnya kontrak usaha tani antara petani dengan perusahaan (besar) membawa implikasi (1) ekonomi (meningkatnya pendapatan petani, keberlangsungan usaha tani karena adanya benih gratis dan standby loan dari perusahaan, dan peningkatan produktivitas karena ketatnya aturan penanaman jagung pembenihan), (2) ekologi (kekurang taatan kepada ketentuan alam terkait dengan formula 2:1 dan penggunaan pupuk yang membahayakan lingkungan, dan (3) kelembagaan (perubahan pemaknaan terhadap nilai hidup, transformasi aturan formal menjadi aturan informal yang diakibatkan oleh aturan isolasi, bergesernya nilai sawah sebagai wilayah sosial menjadi area bisnis, dan bergesernya peran lembaga formal desa (pamong). Implikasi ekonomi, ekologi, dan kelembagaan tersebut pada gilirannya berimplikasi kepada keberlanjutan usaha tani.   Kata Kunci: kontrak, ekonomi, ekologi, kelembagaan, kesinambungan usaha tani.  
Studi Hubungan Budaya dengan Aglomerasi Ekonomi (North-South Corridor) Di Jawa Timur Rachmad Kresna Sakti; Mudrajad - Kuncoro; Candra Fajri Ananda; Maryunani - -
Wacana Journal of Social and Humanity Studies Vol. 13 No. 3 (2010)
Publisher : Sekolah Pascasarjana Universitas Brawijaya

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ABSTRACT   There are two things that commonly identify economic activitivities spacially such as concentration and imbalance.  East Java has two concentration poles of Java economic activities spacially. One of the concentration areas in East Java is in Surabaya, and that concentration activity is called North-South Corridor which is close to temple/ archeological site in East Java. Based on the fact, this research answers some questions like (1) Is there any interaction between culture dimension (the people) and economic dimension? (2) How does culture dimension interacts with economic dimension? The aims of the research are (a) To know the interaction between culture dimension (the people) and economic dimension partially and cumulatively, so there will be North-South Corridor in East Java; (b) To know the flow of mechanism from the detail of culture dimension interacting with economic dimension. The research was done outside North-South Corridor  area in East Java. The result of the research shows (1) there is a relationship between culture and economic dimension. It can be showed from the difference of each economic subject both inside and outside North-South Corridor in facing Hofstede Culture; (2) the difference of culture is formed by the environment of area inside and outside North-South Corridor.   Keywords: North-South Corridor, culture, economic concentration   ABSTRAKS   Terdapat dua hal yang seringkali menjadi ciri menonjol dari kegiatan perekonomian secara spasial, yaitu adanya konsentrasi dan ketimpangan. Di Pulau Jawa Terdapat dua kutub konsentrasi kegiatan ekonomi di Jawa secara spasial. Salah satunya wilayah konsentrasi kegiatan ekonomi di Surabaya Jawa Timur. Konsentrasi kegiatan tersebut dikenal dengan koridor utara – selatan. Menariknya koridor Utara-Selatan berhimpit dengan letak situs purbakala/candi di Jawa Timur.  Berpijak pada kesenjangan realita tersebut, penelitan ini berusaha menjawab pertanyaan berikut, (1) apakah terjadi interaksi antara dimensi budaya (masyarakat setempat) dan dimensi ekonomi?. (2) bagaimana rincian dimensi budaya berinteraksi dengan dimensi ekonomi? Tujuan penelitian ini adalah (a) Mengetahui interaksi antara dimensi budaya (masyarakat setempat) dan dimensi ekonomi, baik secara parsial ataupun secara kumulatif, sehingga terbentuk koridor Utara-Selatan di Jawa Timur; (b) Mengetahui flow of mechanism rincian dimensi budaya berinteraksi dengan dimensi ekonomi. Penelitian ini dilakukan di kawasan di luar kawasan koridor utara – selatan di Jawa Timur. Hasil Penelitian menunjukkan bahwa (1) terjadi hubungan antara dimensi budaya dan kegiatan ekonomi. Hubungan ini terlihat dari perbedaan masing-masing pelaku ekonomi dalam dan di luar koridor utara – selatan dalam menyikapi budaya hofstede. (2) perbedaan budaya ini dibentuk oleh lingkungan tepat tinggal. Lingkungan tempat tinggal dalam konteks ini adalah wilayah dalam koridor utara – selatan ataupun di luarnya   Kata Kunci: koridor utara – selatan, budaya, konsentrasi ekonomi.
ANALISIS FAKTOR YANG MEMPENGARUHI HOLDING PERIOD SAHAM BIASA PADA PERUSAHAAN GO PUBLIC YANG TERCATAT DALAM INDEX LQ45 Vinus - Maulina; Sumiati - -; Iwan - Triyuwono
Wacana Journal of Social and Humanity Studies Vol. 13 No. 3 (2010)
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ABSTRACT The aim of this study is to know and analyze variables influencing holding period of common stock on public firm listed in LQ 45 Index, that are firms generally have good performance assessed based on both market performance and firm fundamental, then analyzing the dominance influencing variable. This study is conducted in Jakarta Stock Exchange with population of stocks listed in LQ 45 index in period of 2000 – 2001 with the total of 64 firms. The Sample Taking Method is purposive sampling with the criteria that the firms at least listed twice in LQ45 index on the study period. The Analysis method used to analyze independent variables: spread, market value, variance return, and dividend pay out ratio and dependent variable: holding period is two stage least squares multiple regression model,  since there is possibility that the correlation of bid-ask spread from the current period and bid-ask spread and holding period from the previous period for every stock take place simultaneously. Results show that partially bid-ask spread variable that constitutes the different value between the highest price provided paid by buyer with the lowest price offered by seller has significance positive correlation on holding period of common stock and there is inverse correlation/significance negative between variance return variable that reflect the risk rate from stock effected by fluctuation of stock price and holding period of common stock. While, simultaneously, there is no significance correlation between dependent variable and independent variable that means bid-ask spread, market value, variance return and dividend pay out ratio can’t describe variation from holding period variable. Keywords: holding period, common stock.
PENGARUH VARIABEL FUNDAMENTAL TERHADAP HARGA SAHAM DAN LABA PER SAHAM (Studi Kasus Pada Industri Properti Yang Go Public di Bursa Efek Jakarta ) Wahyu Budi Santoso; Thantawi A.S. - -; Moeljadi - -
Wacana Journal of Social and Humanity Studies Vol. 13 No. 3 (2010)
Publisher : Sekolah Pascasarjana Universitas Brawijaya

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ABSTRACT This research aims at investigating two issues. First, Whether the several fundamental variables simultantly and partially influence toward the stock price and earning per share on property companies that go public at Jakarta Stock Exchange. Second, Which of several fundamental variables have the most dominant influence either toward the stock price or earning per share. Population used in this research include the entire property companies that go public at Jakarta Stock Exchange with criteria that those companies had the data availibility during 4 periods, those are from the year of 1998 until 2001, from that criteria are obtained about 31 companies where the 24 companies were selected as sample with the simple random sampling technically. The method of analysis is Structural Equation Modelling (SEM). Research results indicate that (1) Simultantly, fundamental indicators have the positive influence toward the stock price (Y1) and earning per share (Y2), these are indicated by positive coefficient for the two variables, however the influence to the earning per share are stronger than to the stock price because its coefficient is bigger than another. In addition, partially there are the significant influence for the variables of earning quality (X7), capital expenditure (X3), gross margin (X4), selling and administration expenses (X5) and inventory (X1) because the p-value are smaller than the 5% significant level, while the variables of account recievable (X2), effective tax rate (X6) and labour force (X9) have not the significant influence. (2) And for the variable of earning quality (X7) has the most dominant influence either to the stock price or earning per share because the p-value is the smallest.   Key Words: Fundamental Analysis, Stock Price, EPS

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