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ANALISIS TEKNIKAL PERGERAKAN HARGA SAHAM DENGAN MENGGUNAKAN INDIKATOR STOCHASTIC OSCILLATOR DAN WEIGHTED MOVING AVERAGE Nur Alviyanil 'Izzah; Dina Yeni Martia; Maria Imaculata; Moh Iqbal Hidayatullah; Andhika Bagus Pradana; Diyah Ayu Setiyani; Enes Sapuri
KEUNIS Vol 9, No 1 (2021): JANUARI 2021
Publisher : FInance and Banking Program, Accounting Department, Politeknik Negeri Semarang

Show Abstract | Download Original | Original Source | Check in Google Scholar | Full PDF (4155.605 KB) | DOI: 10.32497/keunis.v9i1.2307

Abstract

Investments in the stock market are closely related to the price movement risk. Investors used technical analysis to minimize the risk caused by changes in stock prices. Hence, investors get the right decision to buy or sell the stocks. Weighted Moving Average and Stochastic Oscillator are technical analysis indicators that investors often use due to their ease and accuracy predictions. This study combines the Stochastic Oscillator and Weight Moving Average (WMA) indicators to predict stock price movements in various industrial sectors during the 2015 to 2019 period and the first semester of the 2020 covid-19 pandemic outbreak in Indonesia. This combination aims to provide better predictive results by completing the weaknesses of each indicator. To provide recommendations for the right investment decisions for investors interested in investing their funds, especially in various industrial sectors. Using the combination of WMA and SI indicator charts from the investing.com website resulting in a better prediction of the right time to buy or sell stocks in various industry sectors. While the shares of SCCO, INDR, INDS appear stable during 2020, the movement of KLBM and KLBI's share prices seems to be affected by the Covid-19 pandemic in Indonesia.
Indikator Simple Moving Average dan Relative Strenght Index untuk Menentukan sinyal Beli dan Jual Saham pada Sektor Infrastruktur Dina Yeni Martia; Nur Indriana Yasmine
Jurnal Pasar Modal dan Bisnis Vol 3 No 1 (2021)
Publisher : The Indonesia Capital Market Institute

Show Abstract | Download Original | Original Source | Check in Google Scholar | DOI: 10.37194/jpmb.v3i1.67

Abstract

Technical analysis is a methodology of forecasting stock price fluctuations whose data is taken from stock trading data that occur on the stock market (stock exchange). The indicator is used to support technical analysis, the indicator also serves as a tool to determine trends and buy and sell signals in a stock. This study aims to determine the difference between sell and buy signals suggested by the Simple Moving Average and Relative Strength Index indicators. The research method used is descriptive qualitative. The population in this study are publicly traded companies in the infrastructure sector on the Indonesia Stock Exchange. The results showed that in the analysis of the five stocks of ASSA, SAFE, TKLM, KOPI and TOWR using Simple Moving Averange (SMA) and Relative Strength Index (RSI) indicators showed quite accurate signals. Where the Simple Moving Average (SMA) Indicator is used to determine the direction of a stock's trend movement and the Relative Strength Index (RSI) indicator supports confirming the position and price level of a stock.
Analisis Valuasi Saham Pt. Semen Indonesia (Persero) Tbk Dengan Metode Discounted Cash Flow (DCF) Dina Yeni Martia; Wiwik Setyawati; Yuli Hastuti
Jurnal Aktual Akuntansi Keuangan Bisnis Terapan (AKUNBISNIS) Vol 1, No 2 (2018)
Publisher : Politeknik Negeri Semarang

Show Abstract | Download Original | Original Source | Check in Google Scholar | DOI: 10.32497/akunbisnis.v1i2.1232

Abstract

As an investors should be able to consider and conduct an assessment of shares that can provide optimal returns in making investment decisions. Assessment can be done by analyzing the fairness of stock price of the company. This study aims to determine the stock price of PT. Semen Indonesia of the period 2014-2016. The method used in this research is fundamental analysis using Discounted Cash Flow (DCF) approach. The result of this study shows that PT. Semen Indonesia’s stock is in an undervalued condition. Therefore, the right decision for the investor is to buy the stock for investment or not to sell the stock in the hope that in the future the stock price will rise.
PENILAIAN KEWAJARAN DAN PENGAMBILAN KEPUTUSAN INVESTASI SAHAM PT INDUSTRI JAMU DAN FARMASI SIDO MUNCUL Tbk Dina Yeni Martia; Rika Wati; Mirasanti Wahyuni; Kenneth Pinandhito
Jurnal Aktual Akuntansi Keuangan Bisnis Terapan (AKUNBISNIS) Vol 3, No 2 (2020): VOL 3 No 2 November 2020
Publisher : Politeknik Negeri Semarang

Show Abstract | Download Original | Original Source | Check in Google Scholar | DOI: 10.32497/akunbisnis.v3i2.2147

Abstract

This study aims to define the rationality of stock prices and make the right investment decisions of PT Industri Jamu and Pharmaceuticals Sido Muncul Tbk shares (IDX stock code: SIDO) 2015-2019. This research employs the Free Cash Flow to Equity (FCFE) method. The results showed that the stocks of PT Industri Jamu dan Farmasi Sido Muncul Tbk were in an overvalued condition throughout the 2015 to 2019 period. Therefore, the right investment decision is to sell the shares of PT Industri Jamu and Pharmaceutical Sido Muncul Tbk if they already own these shares. Meanwhile, for potential investors interested in buying shares of PT Industri Jamu dan Pharmaceuticals Sido Muncul Tbk, they should adjust their investment strategy. The overvalued condition of SIDO's shares was accompanied by an increase in the stock market price. This situationfurnishes a positive signal that PT Industri Jamu and Pharmacy Sido Muncul Tbk has decent performance and virtuous long-term prospects. Hence, the shares of PT Industri Jamu and Pharmaceutical Sido Muncul Tbk are suitable for long-term investment.
Strategy Analysis of Micro-Scale Business Development with Business Model Canvas on Beneficiary Family in Semarang Regency Kenneth Pinandhito; Dina Yeni Martia; Budi Prasetya
Jurnal Manajemen Bisnis dan Kewirausahaan Vol 6 No 4 (2022): Jurnal Manajemen Bisnis dan Kewirausahaan
Publisher : Universitas Tarumanagara

Show Abstract | Download Original | Original Source | Check in Google Scholar | DOI: 10.24912/jmbk.v6i4.18287

Abstract

The development of businesses with various advantages has made the competition even more challenging, so it requires business people to make particular strategies in dealing with business competition. A business must be able to move forward with its potential and minimize its weaknesses so that it can continue to run and survive in the growing competition. The problems experienced by micro-scale business actors in Semarang Regency are the weak preparation of business strategies and the lack of optimization of their capabilities. The Beneficiary Families (KPM) feel confused about describing their business assets, weaknesses, opportunities, and threats. It causes them to be unable to find the right strategy to run a business during competition and develop the business owned. Given these problems, the aim of this research is that Beneficiary Families can describe and analyze aspects of the internal and external environment to survive in business competition. Qualitative description is used in this study with data analysis techniques, namely Business Model Canvas (BMC). Data collection techniques through interviews, participatory observation, and documentation studies. This study uses a non-random sampling method with a purposive sampling type. Perkembangan bisnis memiliki beragam keunggulannya membuat persaingan menjadi ketat sehingga memaksa para pelaksana bisnis untuk bisa merancang strategi yang khusus dalam menghadapi persaingan usaha. Sebuah bisnis harus dapat bergerak maju dengan keunggulan yang dimilikinya dan mengurangi kelemahannya agar bisa tetap berjalan dan bisa bertahan dalam persaingan yang semakin ketat. Persoalan yang dialami oleh pelaku usaha mikro di Kabupaten Semarang adalah kurangnya dalam menyusun strategi usaha dan belum optimalnya kecakapan yang dimiliki, Keluarga Penerima Manfaat (KPM) merasa bingung untuk menggambarkan kekuatan, kelemahan, peluang, dan ancaman usahanya. Hal tersebut menyebabkan mereka tidak dapat menemukan strategi yang tepat untuk menjalankan bisnis di tengah persaingan dan mengembangkan bisnis yang dimiliki. Dengan adanya permasalahan tersebut, penelitian ini bertujuan agar Keluarga Penerima Manfaat dapat menggambarkan dan menganalisis segi lingkungan internal dan eksternal agar dapat tetap bertahan dalam persaingan bisnis. Metode deskriptif kualitatif merupakan metode yang digunakan dalam penelitian ini dengan teknik analisis data yaitu Business Model Canvas (BMC). Teknik pengumpulan data melalui wawancara, observasi partisipatif, dan studi dokumentasi. Penelitian ini menggunakan metode Non-random Sampling dalam penelitian ini dengan tipe Purposive Sampling.
ANALYSIS OF REPUTATION RISK MANAGEMENT AT PT JASA MARGA (PERSERO) TBK Dina Yeni Martia; Nina Woelan Soebroto; Kenneth Pinandhito; Budi Prasetya; Mochammad Abdul Kodir
Dinamika Akuntansi Keuangan dan Perbankan Vol 12 No 1 (2023): Vol. 12 No. 1 2023
Publisher : Faculty of Economic and Business Universitas STIKUBANK

Show Abstract | Download Original | Original Source | Check in Google Scholar | DOI: 10.35315/dakp.v12i1.9206

Abstract

The company's reputation is an intangible asset that is very valuable for public companies in the midst of capital market developments. Therefore, the implementation of risk management is needed to mitigate the reputational risk that arises. This study aims to provide an overview of the analysis of reputation risk management at PT Jasa Marga (Persero) Tbk. The results of the discussion analysis can be concluded that in the period 2018 to 2020 PT Jasa Marga has experienced reputational risk and has been responsively handled by reputation risk management. The existing problems tend to be related to negative publicity and misunderstandings with the media regarding news of construction services, toll road operations, as well as the extent to which projects operate and services are successfully implemented. Mitigation efforts in risk management as a whole intersect with increasing clarification, updating information, as well as building a communication network with the media, optimizing the role of the media, and building a media partnership network. The outputs of this research are the results of the Reputation Risk Management Analysis at PT Jasa Marga and scientific articles in national journals/seminar proceedings
PERANCANGAN DAN PEMBANGUNAN PLATFORM DIGITAL BERBASIS E-MARKETPLACE PADA PENGELOLAAN PRODUK KOPI DI KABUPATEN SEMARANG Dina Yeni Martia; Kenneth Pinandhito; Budi Prasetya; Suharmanto Suharmanto
Jurnal Riset Akuntansi Politala Vol 6 No 1 (2023): Jurnal Riset Akuntansi Politala
Publisher : Pusat Penelitian dan Pengabdian bagi Masyarakat Politeknik Negeri Tanah Laut

Show Abstract | Download Original | Original Source | Check in Google Scholar | DOI: 10.34128/jra.v6i1.141

Abstract

The development of information technology has brought a new era to the digital-based creative economy. The increasing needs of the community supported by the advancement of internet services used for various purposes, one of which is for business and trade purposes. One of the uses of the internet for business and trade purposes is using different existing marketing media, such as marketplaces. The Coffee Farmers Group in Kab. Semarang still markets its products by selling them directly to intermediaries or placing them in the nearest stalls. So, the marketing of coffee products is still limited to locals, and few people know. Based on the existing problems, building a marketplace-Based Digital Platform system is necessary to expand the marketing reach of MSME products for the Coffee Farmer Group. This study used an observation and interview approach. This research aims to build a digital-based marketing information system to expand sales further.