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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.
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Articles 10 Documents
Search results for , issue " Vol 18, No 1 (2017): JEP 2017" : 10 Documents clear
Idiosyncratic Shocks and Child Labor: Does Gender Matter? Evidence from Indonesia Kharisma, Bayu; Satriawan, Elan; Arsyad, Lincolin
Jurnal Ekonomi Pembangunan: Kajian Masalah Ekonomi dan Pembangunan Vol 18, No 1 (2017): JEP 2017
Publisher : Universitas Muhammdaiyah Surakarta

Show Abstract | Download Original | Original Source | Check in Google Scholar | DOI: 10.23917/jep.v18i1.2907

Abstract

This paper aims to analyze the effect of various idiosyncratic shocks against child labor, working hours of children and school participation based on gender. Also, the role of the assets held by households as one of the coping strategies to mitigate the effects of such shocks. The results of random effect probit technique show that girls are more vulnerable and unprotected in the event of idiosyncratic shocks, especially those shocks caused by crop loss and the decline in household income due to price and quantity. Meanwhile, idiosyncratic shock that drives the existence of boys child labor is the death of the head or members of the household.. Additionally, household assets play an important role in reducing the number of child labor and increase school participation but do not affect the working hours of children during a variety of idiosyncratic shocks
Evaluation of Public Infrastructure: A Case of Sapon Dam Kulon Progo, Indonesia Prastiwi, Nuni Budi; Makhfatih, Akhmad; Dwiputri, Inayati Nuraini
Jurnal Ekonomi Pembangunan: Kajian Masalah Ekonomi dan Pembangunan Vol 18, No 1 (2017): JEP 2017
Publisher : Universitas Muhammdaiyah Surakarta

Show Abstract | Download Original | Original Source | Check in Google Scholar | DOI: 10.23917/jep.v18i1.3245

Abstract

One of problems in making a government’s balance sheet is to determine the value of infrastructure run by the government. It is because the infrastructure is valueless and closely similar in characteristics to public goods. In general, most researchers would use travel cost method to value government infrastructure. Yet, this method is very sensitive toward respondents’ characteristics and in many cases, it results in over estimated valuation. Meanwhile, a valuation technique using cost approach for government infrastructure reflects less its benefits and in many cases, it also tends to be undervalued.Against the aforementioned issue, this research attempted to evaluate state-owned infrastructure using a capitalization method. The object of this research was Sapon Dam located in Kulon Progo Regency, Indonesia. This dam is a state-owned asset functioned to sustain agricultural development particularly for irrigating paddies. This research was aimed at estimating the value of Sapon Dam using a capitalization method. In this method, the absence of infrastructure value was replaced with difference-in-differences analysis for proxy income.The data used in this research was secondary data which included paddy planting areas in irrigated and rain-fed fields, and also farmers’ net income. It was found that the estimated value of Sapon Dam per December 15th2015 was IDR 96,659,385,018.72. 
Novel Innovation of Subsidized Fertilizers based on Soil Variability and Farmer’s Perception Wildayana, Elisa; Armanto, M. Edi; Zahri, Imron; Hasan, M. Yamin
Jurnal Ekonomi Pembangunan: Kajian Masalah Ekonomi dan Pembangunan Vol 18, No 1 (2017): JEP 2017
Publisher : Universitas Muhammdaiyah Surakarta

Show Abstract | Download Original | Original Source | Check in Google Scholar | DOI: 10.23917/jep.v18i1.3401

Abstract

The study aimed to find novel innovation and research of subsidized fertilizers based on soil nutrient variability and farmer’s perception in rice farming. This study uses a completely randomized design with four natural treatments, a one-way Anova and Tukey HSD Test as well as multiple linear and cubic regressions. The fertilizer uniformity on varied ricefields was a big failure because it causes fertilization becoming ineffective, inefficient and unsustainable. Ricefield variability (due to geomorphogenesis, pedogenesis, interflow flow, vegetation distribution, land use patterns, and fertilizer application) causes not optimized fertilization (dose, balance, time, methods of fertilization). The perception of farmers can create conflicts of interest, which are determined as normal, unavoidable and natural.  Short-term research target is how fertilization in the field is done effectively, efficiently, and sustainably, whereas long-term target is to generate new sources of wealth, fertilization technology based on soil science knowledge, forming professional researcher, the great inventions of patents, cooperation media between scientists, technocrats and bureaucrats and research funding.
The Stock Market and Exchange Rates in Five South Asian Countries Firmansyah, Firmansyah; Oktavilia, Shanty
Jurnal Ekonomi Pembangunan: Kajian Masalah Ekonomi dan Pembangunan Vol 18, No 1 (2017): JEP 2017
Publisher : Universitas Muhammdaiyah Surakarta

Show Abstract | Download Original | Original Source | Check in Google Scholar | DOI: 10.23917/jep.v18i1.4293

Abstract

The composite price index and return of stocks are the important indicators, both as a measure of the companys portfolio performance, as well as an indicator of macroeconomic health and the aggregate investment. In addition, the stock prices are also influenced by macroeconomic variables and one of the most important is the exchange rates. The objective of this study is to determine the behavior of exchange rate affects the stock returns in Southeast Asia, pre and post of the 2008 world financial crisis. By employing the daily stock market return in Indonesia, Malaysia, the Philippines, Thailand, and Singapore more than seventeen years from 1 September 1999 to 31 March 2017, this study utilizes Engle-Granger error correction model and cointegration approach to investigate and compare the long and short run of the structural effect of the exchange rates on stock returns. To differentiate the behavior of variables between pre and post occurrence of 2008 world financial crisis, the estimation of the model is divided into two periods. This study finds that the exchange rate growth influence the stock returns in the long and short run, and proves that the cointegration between the two variables exist in all countries. The study has the implication that the exchange rate, which the one of the fundamental measures of a countrys macroeconomic health, is an important determinant of influencing stock return, even its effects are responded by the stock return in one day.
Effect Of Human Development Index Fund on Economic Growth Through A Special Autonomy Iskandar, Irham
Jurnal Ekonomi Pembangunan: Kajian Masalah Ekonomi dan Pembangunan Vol 18, No 1 (2017): JEP 2017
Publisher : Universitas Muhammdaiyah Surakarta

Show Abstract | Download Original | Original Source | Check in Google Scholar | DOI: 10.23917/jep.v18i1.2920

Abstract

This study aims to determine the human development index on economic growth through the provision of special autonomy. The method used is research development with panel data analysis in 23 districts / cities. The results showed that the moderation between the human development index through special autonomy fund a significant negative effect on economic growth. It indicates the use of special autonomy funds for the human development index is still up, so the future is expected to need to be allocated according to the needs in the region, so that the special autonomy funds can effectively and efficiently.
Hedging Ratio Measurement Methods and Hedging Effectiveness in Jakarta Futures Exchanges Wibowo, Buddi
Jurnal Ekonomi Pembangunan: Kajian Masalah Ekonomi dan Pembangunan Vol 18, No 1 (2017): JEP 2017
Publisher : Universitas Muhammdaiyah Surakarta

Show Abstract | Download Original | Original Source | Check in Google Scholar | DOI: 10.23917/jep.v18i1.3473

Abstract

Estimation method of  hedge ratio is a crucial step in hedging strategies in the commodity futures market. This study examines the effectiveness of hedging strategy against cash position in Indonesia’s cocoa beans and Robusta coffee spot market using three hedge ratio estimation methods: OLS, Vector Error Correction Model, and Threshold-ARCH. The results show the hedging effectiveness in the Jakarta Futures Exchange is considerably highly effective to reduce the impact of fluctuations of spot price. The effectiveness of hedging strategy using  OLS as the  simplest method is close to VECM method and TARCH. Implementation OLS hedge ratio resulted  the highest hedging  effectiveness and give a strong support for market players in executing a hedging strategy in Jakarta Futures Exchange due to OLS  simplicity in estimation procedure
Measuring Spatial Cluster for Leading Industries in Surakarta with Exploratory Spatial Data Analysis (ESDA) Arif, Muhammad; Purnomo, Didit
Jurnal Ekonomi Pembangunan: Kajian Masalah Ekonomi dan Pembangunan Vol 18, No 1 (2017): JEP 2017
Publisher : Universitas Muhammdaiyah Surakarta

Show Abstract | Download Original | Original Source | Check in Google Scholar | DOI: 10.23917/jep.v18i1.4178

Abstract

Economic clusters are significant to support the economic growth, particularly at regional scale. The approach in the analysis has evolved from the emphasis on the comparison between the intra and extra regional into the spatial approach that is capable to detect the prevailing movement and concentration pattern in particular economic activity, hence the generated data is more informative and analyzable. This paper concentrates in identifying the location and assessing the economic clusters of leading industries in Surakarta City, Indonesia based on the number of units and labor absorption by using the Exploratory Spatial Data Analysis (ESDA). In association with the first objective, ArcGis was employed to find out how the concentration of leading industries in Surakarta was formed. The analysis revealed that the industries in Surakarta City have a propensity to be remote from downtown and concentrated in the northern part of the city. The second objective was revealed by performing the Moran’s index on GeoDa software to determine the spatial autocorrelation among the observed areas as the basis in finding the leading industrial cluster. The analysis indicated that all leading industries have relatively low Moran’s index meaning there was no dominant leading industry in Surakarta. These results have been confirmed by the LISA method to reveal the areas having spatial autocorrelation for each industrial sector.
Income Distribution and Inequality in Indonesia: Study on Middle Class Household Maipita, Indra; Wahyudi, Setyo Tri
Jurnal Ekonomi Pembangunan: Kajian Masalah Ekonomi dan Pembangunan Vol 18, No 1 (2017): JEP 2017
Publisher : Universitas Muhammdaiyah Surakarta

Show Abstract | Download Original | Original Source | Check in Google Scholar | DOI: 10.23917/jep.v18i1.3974

Abstract

The current positive trend of Indonesia’s economic growth has demonstrated that increasing income per capita is one of the economic prosperity indicators. One pillar of the increase in the income per capita of middle class is its surge to 56.5% in 2010 compared to that of in 2000 which only reached 20%, and it has brought Indonesia to be qualified as a middle-income country. It is believed that, one of the ways to reduce inequality in society is by encouraging economic growth and development of middle-class society. This study aims to analyze the profile of middle class household and its contribution on decreasing inequality in Indonesia using the data of National Survey of Social Economy (Susenas) from 2004 to 2012. By using Keynesian Consumption model and Lorenz Curve, the results showed that middle-class grouping by using the 20th and 80th percentile of income has a higher growth than that of the USD or portion average income approach. However, due to the relatively small contribution of middle class income growth in Indonesia to the economic growth, the changes on Indonesian middle class income is inelastic to the changes on national output.
Public-Private Partnership To Increase Economic Growth of Tourism Sector Fafurida, Fafurida; Ni’mah, Izzatun
Jurnal Ekonomi Pembangunan: Kajian Masalah Ekonomi dan Pembangunan Vol 18, No 1 (2017): JEP 2017
Publisher : Universitas Muhammdaiyah Surakarta

Show Abstract | Download Original | Original Source | Check in Google Scholar | DOI: 10.23917/jep.v18i1.2691

Abstract

The performance of the tourism sector in Kedungsepur region increases significantly viewed from the indicators of the number of tourism objects, labors, tourists, income, and the Gross Regional Domestic Product (GRDP) of the tourism sector, but the contribution of the tourism sector to the GRDP and the average of the tourists’ length of stay decreases. This shows that the performance of the tourism sector in Kedungsepur region decreases and the Public Private Partnership has not been optimallee implemented. Therefore, the researchers use the analysis of SWOT and AHP to find the strategy alternatives to increase the performance indicators of the tourism sector. The research result of the SWOT analysis shows that the development of tourism sector in Kedungsepur region is at the quadrant III, which supports the Turn Arround strategy by applyinga strategy formulated in the matrix of SWOT. And the research result based on the AHP analysis shows the priority based on the criteria of aspects and alternatives. The aspect of institutional and the Alternative strengthen the institutional internal relationship to be a priority in the development of tourism sector in Kedungsepur region.
Determinants of Demand for Foreign Tourism in Indonesia Mariyono, Joko
Jurnal Ekonomi Pembangunan: Kajian Masalah Ekonomi dan Pembangunan Vol 18, No 1 (2017): JEP 2017
Publisher : Universitas Muhammdaiyah Surakarta

Show Abstract | Download Original | Original Source | Check in Google Scholar | DOI: 10.23917/jep.v18i1.2042

Abstract

This study aims to analyze the determinants of foreign tourists visiting Indonesia. Tourism sector is important in Indonesian economy because it is one of potential sources of foreign exchange and promotes economic growth. Decrease in number of domestic tourists is not as important as foreign ones since the later can be a potential source of foreign exchange. Model of travel cost demand for tourism is estimated using panel data, consisting of 34 countries across the globe during 2004-2013. Data were compiled from Indonesian Statistical Agency and the World Bank database. The result shows that distance is a one of significant factors that reduces the number of foreign tourists coming to Indonesia. Bomb attack reduced the number of foreign tourists. Tourists from western and ASEAN countries were more likely to visit Indonesia than others. Indonesian policy should guarantee with security to tourists to attract more arrivals

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