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Jurnal Ekonomi Pembangunan: Kajian Masalah Ekonomi dan Pembangunan
ISSN : 14116081     EISSN : 24609331     DOI : -
Core Subject : Economy,
Jurnal Ekonomi Pembangunan: Kajian Masalah Ekonomi dan Pembangunan is a scientific journal that contains the results of theoretical research and studies on economic and development issues. Managed by Department of Development Economics, Faculty of Economics and Business Universitas Muhammadiyah Surakarta. Published by Muhammadiyah University Press.
Arjuna Subject : -
Articles 979 Documents
PERMINTAAN ENERGI LISTRIK DI JAWA TENGAH Mudakir, Bagio
Jurnal Ekonomi Pembangunan: Kajian Masalah Ekonomi dan Pembangunan Vol 8, No 1 (2007) : JEP Juni 2007
Publisher : Universitas Muhammdaiyah Surakarta

Show Abstract | Download Original | Original Source | Check in Google Scholar | DOI: 10.23917/jep.v8i1.3933

Abstract

This study is intended to determine factors influencing the demand of electricity energy in Central Java. The increasing demand of energy might create a shortage or crisis due to a relatively constant of energy supply. It is because a very high costs for constructing energy power plants. The increasing energy demand over economic growth might create a question, what is the influence of economic activities toward the demand of electricity energy. It is also a problem whether energy demand utilizedas production factor in the economy or consumed as final goods.
KETERKAITAN KURS DAN TINGKAT BUNGA Tarsilohadi, Edy Rahmanryo
Jurnal Ekonomi Pembangunan: Kajian Masalah Ekonomi dan Pembangunan Vol 6, No 1 (2005) : JEP Juni 2005
Publisher : Universitas Muhammdaiyah Surakarta

Show Abstract | Download Original | Original Source | Check in Google Scholar | DOI: 10.23917/jep.v6i1.4009

Abstract

The deep depreciation of the Rupiah from August 1997 through 1998 poses a big problem for domestic economic. Because the Indonesia economic faced with the international trade deficit and the balance of capital surplus, has given rise to the depreciation of Rupiah. At the same time, the banking sector has been higher interest rates. Examination of the data indicates causal linkage between the exchange rate of rupiah and the interest rate, vice versa. This result reflects the weakness of the real and monetary sectors in Indonesia. To avoid the failure economic, will need the contribution monetary and others policies make to that environment are critical.
Fiscal Capacity and Poverty Alleviation: A Panel Data Analysis for Yogyakarta Special Province, Indonesia Sriyana, Jaka
Jurnal Ekonomi Pembangunan: Kajian Masalah Ekonomi dan Pembangunan Vol 16, No 1 (2015): JEP Juni 2015
Publisher : Universitas Muhammdaiyah Surakarta

Show Abstract | Download Original | Original Source | Check in Google Scholar | DOI: 10.23917/jep.v16i1.956

Abstract

This study attempts to analyze the role of fiscal capacity in poverty alleviation in Yogyakarta for the period of 2006-2013. For this purpose, this study uses panel data approach to estimate the empirical model involving four regencies and a city. This research f ound that fixed effects model is the best model to explain the role of fiscal capacity to the poverty rate. Overall, the results present that all independent variables are good predictors for poverty rate model. Based on the complete fixed effects model, the research shows that public spending and fiscal transfer are significant predictors for poverty rate. In contrast, government own revenue has negative impact to poverty rate. These results indicate fiscal capacity in among regencies and city in Yogyakarta has well managed to improve social welfare. This study also reveals that local governments need to improve their public spending as well as to strengthen their frameworks on public services policies.
DETERMINAN PRODUKTIVITAS LAHAN PERTANIAN SUBSEKTOR TANAMAN PANGAN DI INDONESIA Adhitya, Fazriyan Wardani; Hartono, Djoni; Awirya, Agni Alam
Jurnal Ekonomi Pembangunan: Kajian Masalah Ekonomi dan Pembangunan Vol 14, No 1 (2013): JEP Juni 2013
Publisher : Universitas Muhammdaiyah Surakarta

Show Abstract | Download Original | Original Source | Check in Google Scholar | DOI: 10.23917/jep.v14i1.165

Abstract

This study is aimed to analyze the determinant factors affecting the agricultural land productivity of food crops sub-sectors in 25 provinces in Indonesia during the period of 2005-2009. Descriptive analysis is done to describe the agricultural land productivity of food crops sub-sectors in Indonesia. The Cobb-Douglas production function with the assumption of Constant Return to Scale on the food crops sub-sectors production is applied. To solve the heteroschedasticity problems and avoid the auto-correlation, then the Generalized Least Square estimator with Cross-Section Weight is done.The result shows that labors and fertilizer are two factors that do not affect significantly to the productivity of food crops sub-sectors; while capital, research, human resources and irrigation are factors that affect positively to the agricultural land productivity of food crops sub-sectors. The study also shows Java as the area with the highest level of productivity and Maluku has the lowest level of productivity.
ANALISIS RIGIDITAS LENDING RATE PERBANKAN DI INDONESIA PERIODE JANUARI2001 - JUNI2004 Sutomo, Sutomo; Johadi, Johadi
Jurnal Ekonomi Pembangunan: Kajian Masalah Ekonomi dan Pembangunan Vol 5, No 2 (2004) : JEP Desember 2004
Publisher : Universitas Muhammdaiyah Surakarta

Show Abstract | Download Original | Original Source | Check in Google Scholar | DOI: 10.23917/jep.v5i2.4042

Abstract

The research aims to know the influence of interest rate ofSBI, exchange rate, total bank lending, supply of funds and commercial bank amount to rigidly bank lending rate in Indonesian period of January 2001 until June 2004. The research use secondary data by character of time series. The research methodology used a partial adjustment model that rigidly bank lending rate are influence by all independent variable such interest rate of SBI, exchange rate, and total bank lending, supply of fund and commercial bank amount in banking sector. The empirical results that rigidly bank lending rate are influenced by all independent variable are collectively such interest rate of SBI, exchange rate, and total bank lending, supply of fund and commercial bank amount in banking sector. But as partial, rigidly bank-lending rate are influenced by an interest rate of SBI, exchange rate, total bank lending and supply of funds and commercial bank amount, which dont have an effect to rigidly bank lending rate.The result that is suitable with the theory, where monetary instrument (interest rate of SBI) can be used to influence bank-lending rate as process transmission mechanism mon­etary policy by price channel approach. Adjustment coefficient is equal to 0,5484 which meaning 54,84 % represents the difference between bank lending rate actual with bank lending rate that desired which fulfilled to be reached in one period, where speed of adjustment bank lending rate in response change of independent variable equal to 5 months 27 day, with mean lag independent variable equal to 1,1812867 months.
The Strategies of Tofu and Fermented Soybean Cake Cooperation in Facing China-Asean Free Trade Rusdarti, Rusdarti
Jurnal Ekonomi Pembangunan: Kajian Masalah Ekonomi dan Pembangunan Vol 16, No 2 (2015): JEP Desember 2015
Publisher : Universitas Muhammdaiyah Surakarta

Show Abstract | Download Original | Original Source | Check in Google Scholar | DOI: 10.23917/jep.v16i2.1463

Abstract

This research was aimed to identify the internal and external factor for encountering free trade China-Asean and to find some strategic model alternative that can be applied by Primkopti Semarang to develop their business. The analysis methods used were descriptive analysis method and SWOT analysis. The result of this research showed that internal factors for cooperation’s strength for encountering free trade including soybean distributor in form of cooperation in Semarang and experienced manager to carry out the business. The weakness one was the research and development of cooperation hasn’t been optimal and the management of information system hasn’t worked well. External factors for opportunity one including the soybean buyer or main customer was cooperation members having dual identity, as for the threat including no resistance for new competitor, increasing soybean import, soybean importer has strong bargain position. Compatible strategy for cooperation implementation in encountering free trade China-Asean was market penetration strategy and product development.
EL NINO, LA NINA, DAN PENAWARAN PANGAN DI JAWA, INDONESIA Utami, Arini Wahyu; Jamhari, Jamhari; Hardyastuti, Suhatmini
Jurnal Ekonomi Pembangunan: Kajian Masalah Ekonomi dan Pembangunan Vol 12, No 2 (2011): JEP Desember 2011
Publisher : Universitas Muhammdaiyah Surakarta

Show Abstract | Download Original | Original Source | Check in Google Scholar | DOI: 10.23917/jep.v12i2.197

Abstract

Paddy and maize are two important food crops in Indonesia and mainly produced in Java Island. This research aimed to know the impact of El Nino and La Nina on paddy and maize farmer’s supply in Java. Cross sectional data from four provinces in Java was combined with time series data during 1987-2006. Paddy supply was estimated using log model, while maize supply used autoregressive model; each was estimated using two types of regression function. First, it included dummy variable of El Nino and La Nina to know their influence into paddy and maize supply. Second, Southern Oscillation Index was used to analyze the supply changing when El Nino or La Nina occur. The result showed that El Nino and La Nina did not influence paddy supply, while La Nina influenced maize supply in Java. Maize supply increased when La Nina occurred.
Impact of FDI, COP, and Inflation to Export in Five ASEAN Countries Purusa, Nanda Adhi; Istiqomah, Nurul
Jurnal Ekonomi Pembangunan: Kajian Masalah Ekonomi dan Pembangunan Vol 19, No 1 (2018): JEP 2018
Publisher : Muhammadiyah University Press

Show Abstract | Download Original | Original Source | Check in Google Scholar | DOI: 10.23917/jep.v19i1.5832

Abstract

The effects of foreign direct investment (FDI), crude oil price and inflation on the export are mainly examined in the case of Indonesia, Malaysia, Philippines, Thailand, and Vietnam by using data from 2000 to 2015. These countries have opportunity to increased prosperity in the ASEAN Economic Community (AEC). Therefore, increasing productivity and international trading are important for each country. This study employed panel data model in the analyses and the findings show that Fixed Effect Model with Generalized Least Square method is implemented.  Hence, using this method is determined by likelihood test and Hausman test. The statistical tests in this study consist of partial coefficient test, stimulant, and coefficient of determination. The result shows that FDI and crude oil price have positive effect and significant on export, but inflation has negative effect and significant on export. Constant value shows that each country has the difference condition. Simple bureaucracy is needed to increased efficiency that will attract foreign investors to invest their fund and the discovery of alternative energy and new production technique can increase a country productivity significantly in producing goods or services for both domestic and export-oriented.
ANALISA ECONOMIC BASE TERHADAP PERTUMBUHAN EKONOMI DAERAH TINGKAT II WONOGIRI : MENGHADAPIIMPLEMENTASI UU NO. 22/1999 DAN UU NO. 5/1999 Suyatno, Suyatno; Suyatno, Suyatno
Jurnal Ekonomi Pembangunan: Kajian Masalah Ekonomi dan Pembangunan Vol 1, No 2 (2000) : JEP Desember 2000
Publisher : Universitas Muhammdaiyah Surakarta

Show Abstract | Download Original | Original Source | Check in Google Scholar | DOI: 10.23917/jep.v1i2.3899

Abstract

This research aims at determining the sectors, which have regional superiority in Wonogiri, as the consequence of the implementation of Regulation 22/1999 and 25/1999. Furthermore, it also finds out de­terminant factors, which cause positioning, and repositioning these sectors.LQ (Location Quotion) and DLQ (Dynamic Location Quotion) are used to determine superior sectors, and to identify determinant factors causing positioning and repositioning superior sectors, SSA (Shift Share Analysis) is used on this research.The result of this research indicates that statically, superior sectors in Wonogiri are: Agriculture; transport and communication ; Services; and Financial, ownership and business services. The sectors which are hoped to become superior in the next time are: Financial, ownership and business services; Agriculture; and Services. Positioning and repositioning superior sectors in Wonogiri are caused by Location superiority.
KEBIJAKAN EKONOMI GLOBAL DINEGARA SEDANG BERKEMBANG: Tinjauan Teori, Problematika dan Interaksi Kebijakan Perdagangan dan Industrialisasi Suharto, Toto
Jurnal Ekonomi Pembangunan: Kajian Masalah Ekonomi dan Pembangunan Vol 3, No 1 (2002) : JEP Juni 2002
Publisher : Universitas Muhammdaiyah Surakarta

Show Abstract | Download Original | Original Source | Check in Google Scholar | DOI: 10.23917/jep.v3i1.3924

Abstract

It is generally speaking that a country must consider industrial and trade sector in making its global economical policies, as both of them are significant role to supporting national economic growth. According to the writer, when we discuss about experiences in the case of implementing industrial and trade policies in the developing countries, there are three dominant perspective analysis as written in the developmental literature, namely Neoclassical perspective, Structural perspective and Radical perspective. Furthermore, the problem in the industrial and trade policies mostly occurs on three main issues, those are exporting policy, importing policy, and strategic options of industrialization which lies on between import substituting industry or export promoting industry. In this paper, the writer also analyzing economical globalization issue as a big challenge nowadays and proposing strategic anticipatory actions that the developing countries should prepare.

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