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Pembuatan Bioplastik Berbahan Pati Ubi Jalar (Ipomoea batatas L.), Gliserin Dan Penambahan Nanopartikel Zno Dengan Menggunakan Metode Melt-Intercalation Maryanti, Evi; Pasaribu, Cahaya; Adfa, Morina; Yudha S, Sal Prima; Fitriani, Dyah
GRADIEN : Jurnal Ilmiah MIPA Vol 12, No 2 (2016): (Juli 2016)
Publisher : Universitas Bengkulu

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Abstract

Telah dilakukan pembuatan bioplastik berbahan pati ubi jalar (Ipomoea batatas L.) dan gliserin dengan penambahan nanopartikel ZnO menggunakan metode Melt-Intercalation. Nanopartikel ZnO disintesis menggunakan capping agent ekstrak air daging bawang putih (Allium sativum) melalui metode presipitasi. Pembuatan bioplastik dilakukan dengan cara menambahkan pati ubi jalar (Ipomoea batatas L.), gliserin dan penambahan nanopartikel ZnO dengan variasi konsentrasi 0%, 1%, 3% dan 5%. Hasil penelitian menunjukkan bahwa bioplastik yang dihasilkan tidak berwarna (bening) dan transparan. Hasil analisis FTIR menunjukkan bahwa bioplastik yang dihasilkan mengandung gugus OH, C-H, dan C-O.
PENGARUH KEPRIBADIAN DAN KECEMASAN AKAN SEMPITNYA LAPANGAN PEKERJAAN TERHADAP MINAT BERWIRAUSAHA MAHASISWA Fitriani, Dyah
Jurnal Analisis Bisnis Ekonomi Vol 8 No 1 (2010): Volume 8, Nomor 1, April 2010
Publisher : Universitas Muhammadiyah Magelang

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Abstract

This research analyzed about personality, worryness in getting job and entrepreneurial intentions. This research also analyzed the differences between students in personality, worryness in getting job and entrepreneurial intentions. The research's population are Economics Facilty's student in Ahmad Dahlan University. The research sample are student who studied entrepreneurship in Management Programme and Accounting Programme. Sampling technique which is used in this research are purposive sampling. Path analysis and two-way anova analysis are applied to answer the research problem. The conclutions of this research are 1) personality has a significant impact to entrepreneurial intentions and worryness in getting job, 2) worryness in getting job has a significant impact to entrepreneurial intention, and 3) there are no differences among students of Management Programme and Accounting Programme in personality, worryness in getting job and entrepreneurial intentions.
ANALISIS PENGARUH MARKET CAPITALIZATION TERHADAP HARGA SAHAM PADA PERUSAHAAN YANG TERDAFTAR DI BURSA EFEK INDONESIA Nuraningrum, Amanda Wahyu; Fitriani, Dyah
Jurnal Fokus Manajemen Bisnis Vol 3, No 2 (2013)
Publisher : Universitas Ahmad Dahlan

Show Abstract | Download Original | Original Source | Check in Google Scholar | DOI: 10.12928/fokus.v3i2.1337

Abstract

This study aimed at testing and analyzing how both the big market capitalization and the small one had an effect on the price stock. The population of this study was all companies listed in BEI in the period of 2007 – 2011. The purposive sampling with a quota sampling was applied in the technique as sampling, while the selection result of sampling was 36 companies with big market capitalization and 36 companies with small market capitalization. The method of data selection of this study was documentation because the data was taken from other sides. The dependent variable used in this study was price stock and the independent variable was market capitalization. The tools for data analysis applied Vector Error Correction Model (VECM). The result of this study indicated that the big market capitalization had a positive effect on the price stock and gave an effect of 69.91% on the price stock at the end of the period. While the small market capitalization had a positive effect on the price stock at 85.09%.
ANALISIS PERBANDINGAN KINERJA KEUANGAN BANK MUAMALAT INDONESIA DAN BANK SYARIAH MANDIRI Suryani, Ema Dwi; Fitriani, Dyah
Jurnal Fokus Manajemen Bisnis Vol 3, No 1 (2013)
Publisher : Universitas Ahmad Dahlan

Show Abstract | Download Original | Original Source | Check in Google Scholar | DOI: 10.12928/fokus.v3i1.1333

Abstract

The purpose of this study was to assets the financial performance of Bank Muamalat Indonesia in 2010-2014, assets the financial performance of Bank Syariah Mandiri in 2010-2014, to know is there any difference in the performance of Bank Muamalat Indonesia and Bank Syariah Mandiri in 2010-2014. This data source which used are secondary data in the form of financial statements of the company obtained from the publication of Bank Indonesia. Data analysis was performed using analysis of financial ratios of capital adequacy ratio, asset quality ratios, profitability ratios and liquidity ratios. The method used to compare the performance of Bank Muamalat Indonesia with Bank Syariah Mandiri is using the test independent sample t test. Based on the calculation of independent sample t test showed that for each ratio is the ratio Provision of Minimum Capital Adequacy Ratio (CAR), the ratio of asset quality (KAP), the ratio of Net Operational Margin (NOM) and the ratio of Short Term Mismatch (STM) there was no difference in financial performance significantly between Bank Muamalat.
ANALISIS FAKTOR-FAKTOR YANG MEMPENGARUHI EKSPOR SARANG BURUNG DI INDONESIA Harapuspa, Annisa; Fitriani, Dyah
Jurnal Fokus Manajemen Bisnis Vol 8, No 2 (2018)
Publisher : Universitas Ahmad Dahlan

Show Abstract | Download Original | Original Source | Check in Google Scholar | DOI: 10.12928/fokus.v8i2.1587

Abstract

Indonesia is a country rich in natural resources and with a wealth of this nature, Indonesian people are able to get care from nature. Indonesia is the largest swallow nest producer in the world, with an average production of 500-600 tons (2011 period). The purpose of this study was to find out the factors of Indonesian bird nest exports to China. SWOT is the analytical method used in this study. Strategic planning methods are used to evaluate strengths, weaknesses, opportunities, and threats in a project or business speculation. A target pattern of structure that is mutually supportive and complementary leads to a comprehensive goal. As preparation for planning, in order to be able to choose and set strategies and objectives so that programs and projects are arranged that are effective and efficient. The results of the analysis using SWOT show that the strategy can be applied by swallow nest breeders in Indonesia is a strategy that uses the power to take advantage of opportunities and instead take advantage of opportunities and make them a force. This strategy uses the company’s internal strength to take advantage of external opportunities. Swallow nest farmers can use the strategy of previous breeders who have exported swallow nest products by fixing some weaknesses and avoiding or surviving against the threat of the company by creating a more competitive strategy.
PENGARUH MOTIVASI INTRINSIK TERHADAP PRESTASI KERJA KARYAWAN BATIK NAKULA SADEWA SLEMAN YOGYAKARTA Armansyah, Armansyah; Fitriani, Dyah
Jurnal Fokus Manajemen Bisnis Vol 2, No 2 (2012)
Publisher : Universitas Ahmad Dahlan

Show Abstract | Download Original | Original Source | Check in Google Scholar | DOI: 10.12928/fokus.v2i2.1324

Abstract

Current research aimed to investigate the effect of intrinsic motivation (the achievements, recognition of others, the work, opportunities to growth, responsibilities) both, partially and simultaneously  employee’s performance. Respondent in this study were 35 employees of Nakula Sahadewa Sleman Yogyakarta Batik. This research used saturated techniques sampling. Analysis tool used in this research were multiple regression analysis, F test and t test. The results proved that intrinsic motivation simultaneously (F test) has a positive effect on emlpoyees performance. Whereas the t test showed that partially peconition of other, work, and responsibility employees has no significant effects on performance. Only achievement and oportunity to growth has significant effects on employees performance
ANALISIS PERBANDINGAN KINERJA KEUANGAN PADA PD BPR BKK KEBUMEN DAN PT BPR DANA MITRA SEJAHTERA KEBUMEN Damayanti, Erma Reiza; Fitriani, Dyah
Jurnal Fokus Manajemen Bisnis Vol 5, No 2 (2015)
Publisher : Universitas Ahmad Dahlan

Show Abstract | Download Original | Original Source | Check in Google Scholar | DOI: 10.12928/fokus.v5i2.1626

Abstract

The research aims to comparehealth of BPR in terms of financial performance. The object  of  the research  is  PD  BPR  BKK  Kebumen  and  PT  BPR Dana  Mitra  Sejahtera  for  a period of 2012,2013 and 2014.  Banking  financial  performance used  on  this  research  is on financial aspects that be measured by the ratio of the suffciency minimum obligation (CAR), the ratio of the quality of assets productive (KAP), an allowance the formation of productive assets (PPAP), the ratio return on assets (ROA) that reflect the ability of a bank in generate profit, the  ratio  of  BOPO ( the  load operational  against operational  income)  that  reflects the burden of operational compared with earnings obtained, while for liquidity measured by CR and LDR. From this research obtained the results of that overall shows the  level of  financial performance  of  a  healthy.  The  ratio  CAR  in  PD  BPR  BKK  Kebumen  shows  the  average 15,21% larger from PT BPR Dana Mitra Sejahtera that shows the average CAR 12,70% and both banks included in category of healthy. The rati of the quality of assets productive (KAP) in PD BPR BKK  Kebumen  shows the average 5,68% larger than PT Dana Mitra Sejahtera which  shows  the  average  quality  of  assets productive  5,27%  and  both  banks  included  in category  of  healthy.  The  ratio  of  PPAP  inPD  BPR  BKK  Kebumenthat  shows  the  average 100% and PT BPR Dana Mitra Sejahtera which shows the average 95,68% and both banks included  in  category  of  healthy.  The  ratio  ROA  in  PD  BPR  BKK  Kebumen  shows  the average 3,64% larger than PT BPR Dana Mitra Sejahtera which shows the the average ROA 2,24% and both banks included in category of healthy.the ratio of BOPO in PD BPR BKK Kebumen  shows  the  average  72,13%  less  than  than  funds  PT  BPR  Dana  Mitra  Sejahtera which shows the average BOPO 75,68% and both banks included in category of healthy. The ratio of CR in PD BPR BKK Kebumen shows the average 25,82% larger from PT BPR Dana Mitra  Sejahtera  thatshows  the  average  CR  21,02%  and  both  bank  included  in  category  of healthy. The ratio LDR in PD BPR BKK Kebumen shows the average 98,90% and included in  category  of  less  healthy  and  this  is  different  from  PT  BPR  Dana  Mitra  Sejahtera  that Shows the average 78,33% in categories healthy. The ratio of non performing loan (NPL) in PD BPR BKK Kebumen shows the average 3,87% and dutifully included in the category of while from PT BPR Dana MitraSejahtera which shows the average NPL 5,25% greater than that  required  in  category  5%  so  dutifully  enough.  Of  a  whole  the  assessment  of  the  level second health BPR in PT BPR Dana Mitra Sejahtera it has value 99.90 % better than PD BPR BKK kebumen in that it has value 99.05 %.
REAKSI SAHAM INDEKS LQ45 TERHADAP PENGUMUMAN KABINET KERJA TAHUN 2014 DI BURSA EFEK INDONESIA Soleh, Muhamad; Fitriani, Dyah
Jurnal Fokus Manajemen Bisnis Vol 4, No 1 (2014)
Publisher : Universitas Ahmad Dahlan

Show Abstract | Download Original | Original Source | Check in Google Scholar | DOI: 10.12928/fokus.v4i1.1347

Abstract

This research entitle LQ45 stock reaction to the announcement of the cabinet work in 2014 on thestock exchange Indonesia. This analysis technique applies traditional techniques saturated samples. The population of 45 companies in LQ45 period of August 2014-January 2015 with the observation period of 10 days before and 10 days after the announcement/ the analaytical approach used to determine the stock price reaction before and after using one sample t test, while an analysis approach to distinguish the average of abnormal return and trading volume by using a paired sample t test using the alpha level () of 5%. The results of collecting data is to analyze of stock price reaction. It shows that there is no stock price reaction before and after the announcement of the Working cabinet. Because of abnormal return only occurs on H-7 (0.024) and H+8 (0.018), while others do not. The researches used a writting test. Test results of the test on average abnormal return is no difference in the average abnormal return and the announcement of the cabinet work before and after. The test results mean that there are many differences in volume average trading volume before and after the announcement of Labor cabinet.
PENGARUH PROFITABILITAS, LIKUIDITAS, DAN UKURAN PERUSAHAAN TERHADAP KETEPATAN WAKTU PENYAMPAIAN LAPORAN KEUANGAN (STUDI EMPIRIS PADA PERUSAHAAN MANUFAKTUR SEKTOR INDUSTRI BARANG KONSUMSI YANG TERDAFTAR DI BURSA EFEK INDONESIA PERIODE 2010-2014) Damayanti, Kartika; Fitriani, Dyah
Jurnal Fokus Manajemen Bisnis Vol 6, No 2 (2016)
Publisher : Universitas Ahmad Dahlan

Show Abstract | Download Original | Original Source | Check in Google Scholar | DOI: 10.12928/fokus.v6i2.1660

Abstract

Timeliness of the submission of Go's financial statements public is important for disclosing accounting information used by market participants in the investment decision-making process. This study aims to find empirical evidence about the factors that are affect the timeliness of financial reporting of manufacturing sector companies the consumer goods industry which is listed on the Indonesia Stock Exchange. Factors tested in this study are return on assets, current ratio, and total assets. The population in this study is the Industrial Sector Manufacturing Company Consumer goods a total of 40 companies are then taken as many samples 28 companies use purposive sampling techniques. Analytical techniques used logistic regression with a confidence level of 5%. The results of the study shows that profitability has a significant effect on accuracy financial reporting time, whereas liquidity and company size are not significantly influence the timeliness of financial reporting.
ANALISIS PENGARUH INFORMASI UKURAN PERUSAHAAN, PROCEEDS, FINANCIAL LEVERAGE DAN RETURN ON ASSET TERHADAP PENENTUAN HARGA SAHAM PADA SAAT IPO Kholid, Ahmad; Fitriani, Dyah
Jurnal Fokus Manajemen Bisnis Vol 3, No 1 (2013)
Publisher : Universitas Ahmad Dahlan

Show Abstract | Download Original | Original Source | Check in Google Scholar | DOI: 10.12928/fokus.v3i1.1329

Abstract

This study aims to examine how the influence of financial variables are: total assets, proceeds, Financial leverage, ROA of the company’s stock-market pricing of IPO. Data used in this research is secondary data in the form of a list of manufacturing companies that do an IPO in 2006-2007. Based on the analysis of regression, All independen variable have influence for dependen variable, From the results of the F test showed jointly significant effect on the determination of the share price after listing on the secondary market When viewed in a partial, of the four independent variables there are 2 variables that have a significant effect in determining the offering price that is, total assets, proceeds. And for variable Financial leverage and ROA are not significant in determining the offering. The amount of influence of independent variables to the stock price as the dependent variable 55.3%, and mean 44.7% influenced by other variables not included in this study.