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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
ASINKRONISASITRANSFORMASI PRODUKSI DI KABUPATEN SUKOHARJO Agung Riyardi
Jurnal Ekonomi Pembangunan: Kajian Masalah Ekonomi dan Pembangunan Vol 2, No 1 (2001) : JEP Juni 2001
Publisher : Muhammadiyah University Press

Show Abstract | Download Original | Original Source | Check in Google Scholar | DOI: 10.23917/jep.v2i1.3906

Abstract

The best economic development is appropriate economical development to community self-identity. The experience of Sukoharjo regency which follow capitalistic national development pattern precisely causes agricultural self-identity of Sukoharjo regency decrease and in the future it will possibly disappear.The strategic and short term solution in overcoming capitalistic development and in returning self identity of Sukoharjo regency are local governmental one-sidedness with agricultural sector. The real implementations of the one-sidedness are agricultural intensification policy, agricultural extensification policy, and product focus policy. From agricultural intensification policy, it is hoped that local government develops the distribution system of welfare agricultural intensification product. From Agricultural extensification policy, local government is hoped make local regulation of lied-idle field using, and from production policy focus of local government of Sukoharjo Regency, it has to focus on outstanding agricultural product so that it creates agroindustry.
Measuring The Efficiency of Indonesian Sharia Rural Banks: Two Stage Approach Rindang Nuri Isnaini Nugrohowati
Jurnal Ekonomi Pembangunan: Kajian Masalah Ekonomi dan Pembangunan Vol 20, No 1 (2019): JEP 2019
Publisher : Muhammadiyah University Press

Show Abstract | Download Original | Original Source | Check in Google Scholar | DOI: 10.23917/jep.v20i1.6692

Abstract

This paper aims to measure the efficiency level of Sharia Credit Banks in Indonesia over the period of 2012 to 2015. In the first stage, this study uses a Two Stage Approach to measure the level of efficiency with Data Envelopment Analysis (DEA) using the Banxia Frontier Analysis (BFA) software. Then, the second stage involves the analysis of factors that influence the efficiency level of a bank by panel data regression method. On the basis of the test, it is revealed that the Sharia Rural Banks in Indonesia during the study period are not been fully efficient. Some internal factors of the bank, namely BOPO ratios, have a significant adverse impact on the efficiency, while KPPM has a positive and significant influence on the efficiency of BPRS in Indonesia. Meanwhile the total asset, NPF and ROA variables have no significant effect on the efficiency, while the interest rate or BI Rate and inflation have a positive and significant influence on the efficiency of the BPRS.
KARAKTERISTIK DAN AKAR MASALAH KEMISKINAN Kasus Pada 4 Tipologi Desa di Kabupaten Sumbawa Syaifuddin Iskandar; Amir Mahmud; Muslim Muslim
Jurnal Ekonomi Pembangunan: Kajian Masalah Ekonomi dan Pembangunan Vol 11, No 1 (2010): JEP Juni 2010
Publisher : Muhammadiyah University Press

Show Abstract | Download Original | Original Source | Check in Google Scholar | DOI: 10.23917/jep.v11i1.338

Abstract

This research meant to dig and comprehends indicators distinguishing characteristic and poorness problem root in Sumbawa regency. Because of research region broadness, hence research subject is determined in purposive by four countrysides assessed representation able to in geographical typology complete and characteristic countryside public and also level of poorness of resident Sumbawa regency in general. As for fourth of countryside typology is rural area, mountain area, coastal area, and sub urban area. Analyzer applied to comprehend characteristic and poorness problem root of the countryside public, that is using analysis Method Participative Poorness, which developed with method Root Cause Analysis (RCA). This method applied to comprehend characteristic and poorness problem root in each countryside typology. The result of data analysis in general inferential that the poorness characteristic in each countryside typology actually not solely determined by region typology, because at most all countryside typologies there is poor resident amounts which relative still big. This condition altogether determined by economic indicators as factor that is very influences level of prosperity/ poorness of countryside public.
OPTIMALISASI ZIS DAN PENGHAPUSAN PAJAK: SEBAGAI UPAYA PENINGKATAN KEMANDIRIAN EKONOMI MASYARARAT MISKIN DI ERA OTONOMI DAERAH Sofyan Eko Putra
Jurnal Ekonomi Pembangunan: Kajian Masalah Ekonomi dan Pembangunan Vol 8, No 1 (2007) : JEP Juni 2007
Publisher : Muhammadiyah University Press

Show Abstract | Download Original | Original Source | Check in Google Scholar | DOI: 10.23917/jep.v8i1.3940

Abstract

Poorness represent the important problems faced by the Indonesian nation, various effort have been conducted by government, but pursued with the fundamental constraint development failure, till factors of moral hazard make the poverty problems always become the new problems.Zakah, infaq, and shadaqah (ZIS) representing the part of fiscal instrument of Islam, needed in overcome poverty, that is passing gift program special economic incentive (zakat), and extra incentive from infaq and shadaqah as capital of the poor deceiveness through the development in pattern of partner and financing.On the other side, tax as conventional fiscal instrument, up to now still becomes the backbone ofAPBN in order to prosperity distribution.The aim of this paper is provide the fiscal analysis through the optimize of ZIS and tax abolition in context to rising the economic independence of poor society.Resolving through the optimize of ZIS and tax abolition expected applicable utilize the rising of economic independence of poor society in autonomy era.
HUBUNGAN ANTARA HASIL DENGAN PERBELANJAAN KERAJAAN: BUKTI EMPIRIKAL KERAJAAN NEGERI DI SEMENANJUNG MALAYSIA Zulkefly Abdul Karim; Antoni Antoni; Aminudin Mokhta; Norain Mod Asri
Jurnal Ekonomi Pembangunan: Kajian Masalah Ekonomi dan Pembangunan Vol 7, No 1 (2006) : JEP Juni 2006
Publisher : Muhammadiyah University Press

Show Abstract | Download Original | Original Source | Check in Google Scholar | DOI: 10.23917/jep.v7i1.3990

Abstract

Kajian ini bertujuan untuk memeriksa hubungan antara pemboleh ubah fiskal iaitu perbelanjaan dan hasil dengan menggunakan data di peringkat kerajaan negeri di Semenanjung Malaysia. Kaedah ekonometrik siri masa diaplikasikan dalam kajian ini yang terdiri daripada ujian kointegrasi Johansen dan ujian sebab-menyebab Granger untuk menentukan arah hubungan kedua-dua pemboleh ubah fiskal tersebut. Dapatan kajian menunjukkan keputusan yang tidak selaras, yang mana sebilangan besar negeri menepati hipotesis hasil-belanja atau revenue-spend hypothesis (misalnya negeri Kedah, Melaka, Pahang, Perak, dan Terengganu), manakala hipotesis belanja-hasil atau spend-revenue hypothesis hanya wujud di negeri Perlis sahaja, dan tiada hubungan antara hasil dengan belanja di negeri Johor, Kelantan dan Pulau Pinang yang menunjukkan bahawa kedua-dua pemboleh ubah fiskal adalah bersifat nuetral. Hipotesis hubungan sebab-menyebab dua hala (the fiscal synchronization hypothesis) hanya berlaku bagi kes negeri Selangor dan Negeri Sembilan sahaja. Penemuan kajian ini telah memberikan beberapa implikasi penting kepada strategi belanjawan kerajaan negeri tersebut.
Linkages between Dynamic Financial Inclusion and Institutions in ASEAN 8 Tunjung Sekar Laksmi Pandhit; Malik Cahyadin
Jurnal Ekonomi Pembangunan: Kajian Masalah Ekonomi dan Pembangunan Vol 21, No 2 (2020): JEP 2020
Publisher : Muhammadiyah University Press

Show Abstract | Download Original | Original Source | Check in Google Scholar | DOI: 10.23917/jep.v21i2.11146

Abstract

Financial inclusion becomes a priority concern with governments in ASEAN countries such as reduce the  lack  of  access  for  public  to  formal  financial  institutions.  Moreover,  there  is  an  empirical  gap  of linkages between institutions and financial inclusion. Thus, the study aims to estimate the effect of institutions on dynamic financial inclusion. Three financial inclusion indicators are employed, namely: debit card ownership, credit card ownership, and domestic credit to GDP ratio. Institutional indicators consist of six indicators following world governance indicators. The research observations are about 88 consisting of cross-sections were eight of ASEAN countries and the time series was 2008-2018. Indeed, a dynamic panel data was employed. In general, the findings exhibit that FEM is the appropriate model under Hausman test. Specifically, debit card ownership and credit card ownership were determined by voice and accountability, and rule of law while domestic credit to GDP ratio was determined by some indicators of institutions such as voice and accountability, political stability, regulatory quality, and control of corruption. Hence, the policy implications were directed to improve the quality of institutions both country and ASEAN levels. The high quality of institutions will stimulate the acceleration and expansion of financial inclusion in ASEAN countries.
ANALISIS KOMPETENSI PRODUK UNGGULAN DAERAH PADA BATIK TULIS DAN CAP SOLO DI DATI II KOTA SURAKARTA Daryono Soebagiyo; M. Wahyudi
Jurnal Ekonomi Pembangunan: Kajian Masalah Ekonomi dan Pembangunan Vol 9, No 2 (2008): JEP Desember 2008
Publisher : Muhammadiyah University Press

Show Abstract | Download Original | Original Source | Check in Google Scholar | DOI: 10.23917/jep.v9i2.1026

Abstract

This research concerning local prominent product competency of ‘batik tulis’ and ‘batik cap’ in Surakarta. Two kinds of these batik are production of small and middle scale industry (IKM Batik) where IKM Batik has became one of economy prime acti-vator in Surakarta. In this research, writers apply research methods as follows: Bayes approach technique for getting priority prominent product rank, Analytical Hierarchy Process (AHP) by using Expert Choice Software, with aim to know prominent competency of IKM in Surakarta, and Value Chain Economic Analysis started with chain mapping to priority prominent product which appertained as main rank. Research result indicates that competency approach in local industrial devel-opment relevant enough for increasing local competitiveness and finally increasing national competitiveness. It can be happened considering that competency approach try to exploit local excess and excellence uniquely.
ANALISIS PERMINTAAN DEPOSITO DALAM VALUTA ASING PADA BANK SWASTA NASIONAL DI INDONESIA Siti Fatimah Nurhayati; Kurniawati Niladewi
Jurnal Ekonomi Pembangunan: Kajian Masalah Ekonomi dan Pembangunan Vol 4, No 2 (2003) : JEP Desember 2003
Publisher : Muhammadiyah University Press

Show Abstract | Download Original | Original Source | Check in Google Scholar | DOI: 10.23917/jep.v4i2.4022

Abstract

High demand for foreign currency deposit is the background of this research with purpose to analyze influence Gross Domestic Product (GDP) per capita, Rupiah deposit interest rate, exchange rate Rupiah to America Dollar, and London Interbank Offer Rate (LIBOR) international interest rate for deposit demand in foreign currency in National Private Bank in Indonesia. To analyze that influence quadratic linear regression analysis used with Partial Adjustment Methods (PAM). From classic assumption test, there's no multicollinearity, heteroscedasticity, and autocorrelation. From statistical test resulted (test-t) that foreign currency savings from previous period, Rupiah deposit interest rate and LIBOR international interest rate have effect to deposit demand in foreign currency, with different validity rate such as: a = 1%, a ~ 5% and a = 10%, meanwhile GDP per capita and exchange rate have no affect to deposit demand in foreign currency. F-Test result that with validity level 99%, independent variables concurrently have effect to dependent variable. R2 result shows that 98% variance foreign currency deposit effect can be explained by variance in model, the other 2% explained by other variable excluded from applied model. However, long term adjustment value (d) amount
PENDUGAAN ELASTISITAS PENAWARAN OUTPUT DAN PERMINTAAN INPUT USAHATANI JAGUNG Adang Agustian; Sri Hartoyo
Jurnal Ekonomi Pembangunan: Kajian Masalah Ekonomi dan Pembangunan Vol 13, No 2 (2012): JEP Desember 2012
Publisher : Muhammadiyah University Press

Show Abstract | Download Original | Original Source | Check in Google Scholar | DOI: 10.23917/jep.v13i2.172

Abstract

This study aims to determine the effect of changes in output and input prices, corn research expenditures and road infrastructure on output supply and input demand for corn in the Province of East Java and West Java. The data that are analyzed are those of structure of costs of corn farming in the Province of East Java and West Java in 1985-2009. Estimation model employed is the method of Seemingly Unrelated Regression. The results showed that the output supply of corn both in the province of East Java and West Java are elastic to its price changes, however it is inelastic to the price changes of: seed, urea, TSP and labor. Input demand of seed, urea, TSP and labor area inelastic to their price changes. Policy implications of this research is efforts to increase the supply of corn can be carried out by increasing its price, expenditures of corn research, and road infrastructure.
The Trend of The Returns to Educations in Indonesia Nenny Hendajany; Tri Widodo; Eny Sulistyaningrum
Jurnal Ekonomi Pembangunan: Kajian Masalah Ekonomi dan Pembangunan Vol 17, No 1 (2016): JEP June 2016
Publisher : Muhammadiyah University Press

Show Abstract | Download Original | Original Source | Check in Google Scholar | DOI: 10.23917/jep.v17i1.1595

Abstract

This paper describes the rate of return to education in Indonesia. The purpose of this paper was to determine how the trend of return to education from 1993 to 2007. By using Mincer equation, we analyzed return to education in Indonesia with using Indonesia Family Life Survey (IFLS) data collected in 1993, 1997, 2000, and 2007. Mincer specification linked between income and education. Income used in this paper was real income of a person who works. The estimation of the rate of return to education started by separating each year data. Then, it used pool data by adding year variable and multiplication variable between year and education. Estimation was also carried out by comparing between men and women. Further, estimation was divided into two age cohorts, young cohort and old cohort. All the results of estimation indicated a decreasing rate of return, the greatest decrease occurred on men with old cohort.Keywords: education, return to education, Mincer equation, trendJEL codes: I26, J30

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