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Journal of Management and Business Review
ISSN : 18298176     EISSN : 25030736     DOI : -
Journal of Management and Business Review (JMBR) is a source of scientific information for academia, research institution, government agencies, and industries. We publish research paper on management and business strategy as well as related topics.
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Articles 217 Documents
FAKTOR-FAKTOR PENUMBUH USAHA MIKRO-KECIL (UMK) DI WILAYAH KOTA DAN KABUPATEN BOGOR Warcito, Warcito; Saleh, Amiruddin; Sehabudin, Ujang
Journal of Management and Business Review Vol 13, No 1 (2016)
Publisher : Research Center and Case Clearing House PPM School of Management

Show Abstract | Download Original | Original Source | Check in Google Scholar | DOI: 10.34149/jmbr.v13i1.29

Abstract

Penelitian ini bertujuan untuk mengaji faktor-faktor penumbuh UMK di masyarakat, dengan kasus UMK di wilayah Kota dan Kabupaten Bogor, khususnya UMK yang tergabung dalam Pos Pemberdayaan Keluarga (posdaya). Jumlah responden 100 orang yang tergabung dalam 20 Posdaya, masing-masing 10 Posdaya di Kota Bogor dan 10 Posdaya di Kabupaten Bogor. Responden masing-masing Posdaya berjumlah 5 orang. Penelitian berlangsung dari bulan Juni - September 2015. Pendekatan (metode) yang digunakan adalah metode sustainable business, yang terdiri dari aspek sosial (tingkat pendidikan, akses informasi, motivasi, pengalaman usaha, manfaat bagi lingkungan), aspek ekonomi (pemilikan asset/permodalan, akses pembiayaan, askses bahan baku/barang, pemupukan modal, jaringan usaha), dan aspek lingkungan (penanganan limbah, pemanfaatan libah, perijinan/legalitas usaha, penciptaan wirausaha baru), dengan metode analisis menggunakan metode skoring dengan bobot yang seragam untuk setiap aspek dan masing-masing variabel. Hasil analisis memperlihatkan bahwa faktor-faktor yang mempengaruhi penumbuhan usaha dan bisnis masyarakat adalah faktor sosial, faktor ekonomi, dan faktor lingkungan. Sedangkan dominasi proses dan pola penumbuhan usaha dan bisnis masyarakat di Posdaya dipengaruhi oleh faktor warisan atau turunan. Selanjutnya penumbuhan UMK dipengaruhi oleh motivasi, pengalaman usaha, manfaat bagi masyarakat, pemilikan asset, akses sumber bahan baku, pemupukan modal, jaringan pemasaran, dan penciptaan wirausaha baru. Dalam rangka pengembangan UMK perlu dilakukan pendampingan dan pelatihan bagi pelaku usaha UMK dalam mengakses teknologi, informasi, pasar, dan pembiayaan. Diperlukan upaya untuk meningkatkan motivasi wirausaha di kalangan keluarga dan masyarakat melalui pendampingan, pelatihan dan pemagangan. Fasilitasi pemerintah daerah sangat diharapkan untuk melengkapi aspek perijinan/legalitas usaha dalam meningkatkan dayasaing UMK.
RANCANGAN PENINGKATAN EFEKTIVITAS MANAJEMEN RISIKO OPERASIONAL DI DIVISI KREDIT PADA KEGIATAN PEMBIAYAAN KONSUMEN SEPEDA MOTOR PT XYZ Tineke, Tineke
Journal of Management and Business Review Vol 11, No 1 (2014)
Publisher : Research Center and Case Clearing House PPM School of Management

Show Abstract | Download Original | Original Source | Check in Google Scholar | DOI: 10.34149/jmbr.v11i1.58

Abstract

Terbatasnya sumber dana formal yang mampu mengatasi kebutuhan kredit masyarakat lapisan bawah yang berpenghasilan rendah merupakan alasan pendorong berkembangnya perusahaan pembiayaan konsumen. Melalui sistem pembiayaan konsumen, masyarakat lapisan bawah berpenghasilan rendah dapat memenuhi kebutuhan hidup layak yang sesuai dengan tingkat kemampuannya. Sepeda motor adalah salah satu kontribusi pertumbuhan perusahaan pembiayaan konsumen tersebut. Kemudahan dalam memperoleh pembiayaan untuk pembelian sepeda motor secara kredit menjadi salah satu penyebab peningkatan penjualan sepeda motor di Indonesia yang dapat menimbulkan potensi risiko bagi perusahaan pembiayaan, tidak terkecuali dengan PT XYZ. Dalam kurun waktu 2010 sampai tahun 2011 PT XYZ mengalami penurunan kualitas kesehatan khususnya dari sisi pembiayaan dimana terjadi peningkatan Non Performing Loan (NPL) dari tahun ke tahun. Tujuan dari penelitian ini adalah untuk mengidentifikasi, menganalisa, merumuskan dan menyusun rencana implementasi peningkatan efektivitas manajemen risiko operasional di divisi kredit PT XYZ. Dalam penelitian ini pendekatan yang dilakukan dengan pendekatan kualitatif dan mengacu pada ISO 31000 tahun 2009. Berdasarkan hasil analisa manajemen risiko operasional divisi kredit PT XYZ yang teridentifikasi dari penelitian ini memiliki 8 risiko, yang paling tinggi dari dampak dan kemungkinan yang terjadi ada 2 risiko, yaitu : turnover Direksi dan key employee dalam Divisi Kredit serta keterlambatan dalam penarikan data yang diperlukan untuk laporan reguler setiap bulan.
Communication Strategy of Content Collision Agency in Promoting the Blibli.com Brand Nofrizal, William Ardo; Delliana, Santi
Journal of Management and Business Review Vol 18, No 2 (2021): Special Issue Konferensi Nasional Riset Manajemen XI, 2021
Publisher : Research Center and Case Clearing House PPM School of Management

Show Abstract | Download Original | Original Source | Check in Google Scholar | DOI: 10.34149/jmbr.v18i2.245

Abstract

The digital age has led to the emergence of many companies such as E-commerce, which in the marketing process, not only do marketing through offline media but also have penetrated online or digital media. BliBli.com promotes its brand in collaboration with the digital agency Content Collision to be able to provide SEO (Search Engine Optimization) that can increase PageRank on Google. The purpose of this research is to find out how the communication strategy is carried out by the Content Collision Agency. The research method used is descriptive qualitative data collection through interviews, observations, and study documents. The results showed that the communication strategy used by the Content Collision Agency in promoting BliBli.com was by managing BliBli's blog to be more interesting. Content contained on the website of articles, Slideshare, infographics, and live reports in the field, given a call to action on each document that has made. The content is SEO friendly, up to date, creative, informative, entertaining, distributed via online media, and accompanied by backlinks such as QR code and action buttons (buy now). This method makes it easier for readers to be able to get products and promotions available on Blibli.com. Readers can also share by clicking the share that serves as an expression to express like the article and want to share the information by others or just provide feedback for the content through comments. Reviews of products or services from the brand can increase the number of views and also to increase sales.
Discourses of Inverted Yield Curve and the Reaction on US Stock Markets Rofi, M Akhsanur
Journal of Management and Business Review Vol 18, No 2 (2021): Special Issue Konferensi Nasional Riset Manajemen XI, 2021
Publisher : Research Center and Case Clearing House PPM School of Management

Show Abstract | Download Original | Original Source | Check in Google Scholar | DOI: 10.34149/jmbr.v18i2.278

Abstract

An outlook model to predict future economic growth is crucially important for government, financial institution, corporate, investor, as well as household. An inverted yield curve has been trusted for long time as a prediction for economic recession. But current development showed that there is change in IYC pattern that might be because of the new normal of market condition, anxious investor, or something else, hence it created the discourse among market stakeholder whether it remain a reliable prediction model or not. The research will focus on discourse among important economic stakeholders in US market and how they might impact on stock market rationally or irrationally using discourses network analysis, graph analysis, and t-Test analysis. The result confirmed that there is a different pattern on IYC, also there is a short-term correlation between IYC and stock price movement, confirmed the information theory.
PENGARUH KUALITAS PRODUK DAN KEUNGGULAN BERSAING TERHADAP KEPUTUSAN PEMBELIAN DENGAN CITRA MEREK SEBAGAI VARIABEL INTERVENING Laura, Netty; Siringo Ringo, Siska Natalia
Journal of Management and Business Review Vol 14, No 2 (2017)
Publisher : Research Center and Case Clearing House PPM School of Management

Show Abstract | Download Original | Original Source | Check in Google Scholar | DOI: 10.34149/jmbr.v14i2.100

Abstract

Penelitian ini ditujukan untuk menjelaskan pengaruh kualitas produk dan keunggulan bersaing terhadap keputusan pembelian dengan citra merek sebagai variabel intervening di Universitas 17 Agustus 1945 Jakarta. Unit analisis dalam penelitian ini adalah mahasiswa pengguna sepeda motor Honda matic. Populasi dalam penelitian ini adalah mahasiswa pengguna sepeda motor Honda matic dengan jumlah 132 sampel dari 198 populasi. Metode pengambilan sampel yang di gunakan di dalam penelitian ini dilakukan dengan menggunakan purposive sampling, dimana pengambilan sampel secara sengaja berdasarkan persyaratan kriteria tertentu. Instrument analisis statistik melalui PLS.3 yang digunakan untuk menguji hipotesis. Hasil penelitian ini yakni kualitas produk berpengaruh positif signifikan terhadap citra merek di Universitas 17 Agustus 1945, keunggulan bersaing berpengaruh positif signifikan terhadap citra merek di Universitas 17 Agustus 1945, kualitas produk berpengaruh positif signifikan terhadap keputusan pembelian di Universitas 17 Agustus 1945, keunggulan bersaing berpengaruh positif signifikan terhadap keputusan pembelian di Universitas 17 Agustus 1945, citra merek berpengaruh positif signifikan terhadap keputusan pembelian di Universitas 17 Agustus 1945, kualitas produk berpengaruh positif tidak signifikan terhadap keputusan pembelian melalui citra merek di Universitas 17 Agustus 1945, dan keunggulan bersaing berpengaruh positif tidak signifikan terhadap keputusan pembelian melalui citra merek di Universitas 17 Agustus 1945. Implikasi penelitian ini PT. Astra Honda Motor perlu berinovasi terus menerus melalui kualitas produk sehingga mampu bersaing dengan perusahaan otomotif sepeda motor lainnya. Keunggulan bersaing yang diciptakan Honda inilah yang mampu menjadikan PT. Astra Honda Motor menjadi penguasa pasar industri otomotif sepeda motor.
FAKTOR FAKTOR YANG MEMPENGARUHI TURNOVER INTENTION KARYAWAN PADA HOTEL BINTANG TIGA DI KOTA PADANG Shelinda Rahman; Harif Amali Rivai
Journal of Management and Business Review Vol 17, No 1 (2020)
Publisher : Research Center and Case Clearing House PPM School of Management

Show Abstract | Download Original | Original Source | Check in Google Scholar | DOI: 10.34149/jmbr.v17i1.172

Abstract

Human resources have an important role in an organization both large and small scale organizations. The world of tough competition the organizations try to minimize their turnover ratio and save their cost, turnover cost consists of re-recruiting employees and retraining costs. The purpose of this research is to understand and analyze the effects of training satisfaction, pay satisfaction and job satisfaction to employee turnover intention with organizational commitment as a mediating variable in the three-star hotel employess in Padang city. With a total of 140 respondents the sample validity testing was carried out by loading factor and average variance extracted (AVE) while the reliability testing used an internal consistency test based on composite reliability values. Validity test with loading factor shows a valid value. Reliability testing with internal consistency test has composite reliability values that meet the criteria. Based on the test results, all variable indicator statements have met the criteria of validity and reliability. Hypothesis test results with SmartPLS show that organizational commitment, training satisfaction and salary satisfaction have a negative and significant effect on turnover intention. Organizational commitment mediates the relationship of training satisfaction, salary satisfaction, and job satisfaction on turnover intention.
Penilaian Kinerja Keuangan terhadap Nilai Perusahaan BUMN Bidang Konstruksi yang Terdaftar di Bursa Efek Indonesia Anggi Angga Resti
Journal of Management and Business Review Vol 18, No 2 (2021): Special Issue Konferensi Nasional Riset Manajemen XI, 2021
Publisher : Research Center and Case Clearing House PPM School of Management

Show Abstract | Download Original | Original Source | Check in Google Scholar | DOI: 10.34149/jmbr.v18i2.290

Abstract

This study aims to determine of the financial performance on firm value of state-owned construction companies listed in the Indonesia Stock Exchange for period 2016-2019 which based on Decree of the Minister of State-Owned Enterprises No: KEP-100/MBU/2002. Assessment of financial healthy used eight indicators, there are ROE (Return On Equity), ROI (Return On Investment), cash ratio, current ratio, collection periods, inventory turnover, total asset turn over, and total equity to total asset. The research is conducted in four constructions state-owned enterprises (SOE) listed in the Indonesia Stock Exchange for the period 2016-2019.The documents required are the annual financial statements of PT. Adhi Karya (Persero) Tbk., PT. Housing Development Tbk., PT. Waskita Karya (Persero) Tbk., and PT. Wijaya Karya (Persero) Tbk., for the period 2016-2019. Based on the results show assessment of the financial performance and firm value of state-owned companies in the construction sector listed on the Indonesia Stock Exchange for the period 2016-2019, with details: (a) financial performance of PT. Adhi Karya Tbk in the 2016-2019 period, showed that the company always received the title of Unhealthy BBB Category; (b) financial performance of PT. Housing Development Tbk in the 2016-2019 period, showed that the company received the title of Healthy Category A in 2016-2018, and received the title of Healthy Category of AA in 2019. (c) financial performance of PT. Waskita Karya Tbk in the 2016-2019 period, showed that the company received the title Healthy Category A in 2016-2018, and received the title of Unhealthy Category BB in 2019. And (d) financial performance of PT. Wijaya Tbk in the 2016-2019 period, showed that the company always received the title of Unhealthy BBB Category. (e) The result of this research signal that financial performance there influence of firm value
PENGGUNAAN IT DALAM PROYEK NEW PRODUCT DEVELOPMENT DI INDONESIA: IDENTIFIKASI FAKTOR PENENTU DAN DAMPAK KINERJA PROYEK Boy Bayu Idisondjaja; Pepey Riawati Kurnia, M.M.; Siti Nuraisyah Suwanda
Journal of Management and Business Review Vol 15, No 2 (2018)
Publisher : Research Center and Case Clearing House PPM School of Management

Show Abstract | Download Original | Original Source | Check in Google Scholar | DOI: 10.34149/jmbr.v15i2.144

Abstract

This research is a research replication of Determinants of IT Usage and New Product Performance by Barczak, Sultan, and Gultink (2007), adapted using the characteristics of different respondents which are medium and large companies in Indonesia. The first purpose of the research is to identify antecedents of the use of IT tools. The second purpose is to further explore the role of IT in building innovative capabilities that generate values for the company. The study used a quantitative approach with a single cross-sectional conclusive design to test eight hypotheses through multiple regression measurements. The eight variables to be tested are divided into two major groups, namely the determinant variable (project risk, existence of a champion, autonomy, innovative climate, IT infrastructure, IT usage depth) and impact of IT usage performance (speed of product launch to market, market performance). The result of the research shows that the variables of IT usage depth, enterprise innovative climate, IT infrastructure, and project risk have a positive and influential relationship therefore determine the use of IT in NPD than other determinant variables. Meanwhile, the impact of IT usage on project performance is affected by the speed of product launch to market with a positive and significant relationship compared to market performance variable. The practicalities of this research, among others, is to provide an alternative action for managers to increase the use of IT in the process of New Product Development (NPD).
Analisa Pengaruh Pandemi Covid-19 terhadap Kinerja Keuangan Sektoral Perusahaan Emiten di Bursa Efek Indonesia Budi Santoso
Journal of Management and Business Review Vol 18, No 2 (2021): Special Issue Konferensi Nasional Riset Manajemen XI, 2021
Publisher : Research Center and Case Clearing House PPM School of Management

Show Abstract | Download Original | Original Source | Check in Google Scholar | DOI: 10.34149/jmbr.v18i2.268

Abstract

Covid-19, which has become a worldwide pandemik, has had an impact on various sectors ranging from healthcare, social, economic, education and several other sectors. The first Covid-19 cases in Indonesia were detected in early March 2020, and up to October 18, 2020 there has been no decline in the trending number of cases, with the number of confirmed cases of 361,867 and active cases of 64,032. This condition has many impacts, one of which is the economic sector, especially the company's financial performance. This paper analyzes the effect of covid-19 on the financial performance of companies listed on the Indonesia Stock Exchange that are engaged in several business sectors. In each sector several sampels will be taken and analyzed several key indicators of the financial statements from the aspects of revenue, profit and liquidity ratio, and compare them with several time periods up to the third quarter of 2020. With this analysis, it can be taken into consideration for stakeholders to provide stimulation in order to accelerate economic recovery after Covid-19.
Nilai Perusahaan pada Struktur Modal Optimal PT. Trans Marga Jateng dan PT. Jasamarga Surabaya Mojokerto Tahun 2020 Aruji Murtianto; Muhammad Taufik Akbar; Nora Sri Hendriyeni
Journal of Management and Business Review Vol 18, No 2 (2021): Special Issue Konferensi Nasional Riset Manajemen XI, 2021
Publisher : Research Center and Case Clearing House PPM School of Management

Show Abstract | Download Original | Original Source | Check in Google Scholar | DOI: 10.34149/jmbr.v18i2.284

Abstract

In order to maintain the company's ability to fulfill its liabilities, PT. Jasa Marga (Persero) Tbk will takes a corporate action strategy to strengthen capital structure for the Toll Road Subsidiaries (/APJT). APJT selected are PT. Trans Marga Central Java (/PT. TMJ, is the operator of Semarang-Solo toll road) and PT. Jasamarga Surabaya Mojokerto (/PT. JSM, is the operator of Surabaya-Mojokerto toll road) because of its capability to fulfill their solvents. Corporate action strategy done by analyze related with company performance baluation, optimal capital structure analysis. For Company performance valuation, analyze is done with company's financial ratios. From the calculation and analysis of profitability ratios; liquidity ratios and solvency ratios, PT. TMJ and PT. JSM during year 2015-2019 showed fair good performance. The composition of the capital structure to obtain optimal value for PT. TMJ and PT. JSM are range from 60:40 to 30:70 for the composition of debt and equity. The results of the company valuation using Discounted Cash Flow (DCF) method show that the company value of PT. TMJ, with a capital structure composition of 60:40 worth IDR. 25,862,- /share and with a capital composition of 70:30 share value of PT. TMJ in the amount of IDR.10,418,- /share. As for PT. JSM with a capital structure composition of 60:40 is IDR. 2,709,- /share and with a capital composition of 70:30 the share value of PT. JSM is IDR. 911,- /share. From analyze result, Management should pay more attention in capital expense due its effect in Optimizing Capital Structure, then from that Optimal Capital structure, APJT can reduce debt portion dan increasing uts equity portion through several strategy