Wibowo, Wisnu
Department Of Economics, Faculty Of Economics And Business, Universitas Airlangga

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KLASTERISASI KABUPATEN/KOTA DI JAWA TENGAH BERDASARKAN INDIKATOR KINERJA PEMBANGUNAN Sugiarto Sugiarto; Wisnu Wibowo
Jurnal Litbang Sukowati : Media Penelitian dan Pengembangan Vol 3 No 2 (2020): Vol. 3 No. 2, May 2020
Publisher : Badan Perencanaan Pembangunan Daerah, Penelitian dan Pengembangan Kabupaten Sragen

Show Abstract | Download Original | Original Source | Check in Google Scholar | DOI: 10.32630/sukowati.v3i2.161

Abstract

Masalah ketimpangan pembangunan antarkabupaten/kota di Jawa Tengah masih terjadi meskipun pembangunan ekonomi di provinsi ini cukup berhasil. Untuk mengatasinya diperlukan kebijakan berbasis wilayah. Studi ini bertujuan melakukan klasterisasi wilayah berdasarkan indikator kinerja pembangunan manusia, infrastruktur, dan ekonomi untuk mendukung pengambilan kebijakan berbasis wilayah. Principal component analysis (PCA) dan analisis faktor digunakan untuk mereduksi variabel kinerja pembangunan yang saling berkorelasi, sedangkan analisis cluster digunakan untuk melakukan klasterisasi kabupaten/kota berdasarkan indikator kinerja pembangunan. Dari PCA dan analisis faktor terbentuk 3 faktor kinerja pembangunan manusia, 3 faktor kinerja pembangunan infrastruktur, dan 2 faktor kinerja pembangunan ekonomi, sedangkan analisis cluster menghasilkan 5 klaster kabupaten/kota. Kinerja pembangunan manusia tinggi, infrastruktur sangat tinggi, dan ekonomi tinggi dimiliki oleh Klaster 1, yang terdiri dari 4 kota. Klaster 2, memiliki karakteristik kinerja pembangunan manusia sangat tinggi, infrastruktur tinggi, dan ekonomi sangat tinggi, terdiri dari 1 kota. Klaster 3, memiliki karakteristik kinerja pembangunan manusia sangat rendah, infrastruktur sedang, dan ekonomi sedang, terdiri dari 7 kabupaten. Klaster 4, memiliki karakteristik kinerja pembangunan manusia sedang, infrastruktur rendah, dan ekonomi rendah, terdiri dari 12 kabupaten. Sepuluh kabupaten dan satu kota lainnya berada pada Klaster 5 dengan ciri-ciri kinerja pembangunan manusia tinggi, infrastruktur tinggi, dan ekonomi rendah.
Kerentanan Perbankan di Indonesia Amir Ambyah Zakaria; Wisnu Wibowo
MediaTrend Vol 15, No 1 (2020): MARET
Publisher : Trunojoyo University of Madura

Show Abstract | Download Original | Original Source | Check in Google Scholar | DOI: 10.21107/mediatrend.v15i1.5397

Abstract

This research aims to measure the banking vulnerability index and test the factors that influence the banking crisis. The crisis and variable identification that triggered the banking crisis is still a debate. This study uses banks in Indonesia which listed in JKSE for the period 2009 to 2014 as samples. This study uses index calculations as identification of possibility individual banking crisis, and examines bank internal variable, macroeconomic variable, and global economic variables that are thought to trigger the banking crisis using logit regression. The result is that bank internal factors proxy by non-performing loans, labor cost ratios and loans to deposits ratios have a positive relationship with the banking crisis, while net interest margins and interest income have a negative relationship with the banking crisis. Macroeconomic and global economic variables proxy by domestic inflation and US interest rates have a positive effect on the banking crisis while M2 growth, and GDP growth in the USA have a negative effect on the possibility of a banking crisis in Indonesia.
The Effect of Monetary Policy on Unemployment Rate in Indonesia Hafiansyah Mahadika; Wisnu Wibowo
JIET (Jurnal Ilmu Ekonomi Terapan) Vol. 6 No. 1 (2021)
Publisher : Department of Economics, Faculty of Economics and Business, Universitas Airlangga

Show Abstract | Download Original | Original Source | Check in Google Scholar | DOI: 10.20473/jiet.v6i1.27100

Abstract

This study aims to determine the influence of monetary policy on the unemployment rate in Indonesia. Unemployment is one of the fundamental problems in the economy. The unemployment problem can be overcome by monetary policy. This study used time series data with the period 1975-2016 using real money demand, economic growth, real interest rates, and real exchange rates as independent variables, and the unemployment rate as the dependent variable. The data used in this study is secondary data obtained from the World Bank. The method used is ARDL (Autoregressive Distributed Lag) which can change a static economic theory to be dynamic by taking into account the role of time explicitly. The results show that in the long run the probability value of the economic growth variable is below the 5% significance level which indicates that economic growth had a negative and significant effect on the unemployment rate. In the short run, the real interest rate, the real interest rate at lag 1, economic growth at lag 1 and lag 3, and the real exchange rate at lag 1 had a negative and significant effect on the unemployment rate. This indicates that the impact of monetary policy on the unemployment rate is temporary.Keywords: Unemployment Rate, Monetary Policy, ARDL.JEL : E24, E52, E61.
The Effect of Financial Development on Economic Growth Countries ASEAN-4 Rizka Lailatul Millah; Wisnu Wibowo
JIET (Jurnal Ilmu Ekonomi Terapan) Vol. 6 No. 2 (2021)
Publisher : Department of Economics, Faculty of Economics and Business, Universitas Airlangga

Show Abstract | Download Original | Original Source | Check in Google Scholar | DOI: 10.20473/jiet.v6i2.29407

Abstract

This study aims to determine the effect of financial development on economic growth in ASEAN-4 during 1999-2018. This study uses the regression method and panel approaches using the Fixed Effect Model method. This research uses the FEM quantitative method and uses a stata 13 estimation tool. The panel data regression results in this study indicated that financial development has a positive relationship with economic growth. This is evident from the three financial development proxies, which have a positive correlation with economic growth domestic credit to private sector, money broad variables, market capitalization and degree of openness to reflect the real sector. Keywords: Financial Development, Degree of Openness, Economic GrowthJEL : G2, O11, O16
Pengaruh Pembayaran Non-Tunai Terhadap Kinerja Sektor Primer Di Indoensia Mira Ayu Astari; Wisnu Wibowo
MediaTrend Vol 17, No 1 (2022): MARET
Publisher : Trunojoyo University of Madura

Show Abstract | Download Original | Original Source | Check in Google Scholar | DOI: 10.21107/mediatrend.v17i1.13632

Abstract

The purpose of this study is to examine the effect of non-cash payments on theperformance of the primary sector in Indonesia. The independent variables consistof ATM/Debit cards, credit cards, e-money, check payments, and RTGS payments.The dependent variable of the primary sector is divided into two, namely agricultural GDP and mining GDP. The data used is a secondary data type with time series, observation period 2010.q1-2019.q4. The analytical method of this study uses the Error Correction Model (ECM) estimation to determine the effect of non-cash payments in the short and long term. The short-term estimation results in the miningsector only have a significant influence on the RTGS variable, while in the long termit is influenced by credit cards, e-money, and RTGS. The results of the short-termestimation of the agricultural sector have a significant effect on credit cards, checks,and RTGS, while in the long term only checks are significant
Efisiensi belanja pendidikan di jawa timur (penerapan data envelopment analysis) Wahyu Aditama P; Tri Haryanto; Wisnu Wibowo
INOVASI Vol 18, No 2 (2022)
Publisher : Faculty of Economics and Business Mulawarman University

Show Abstract | Download Original | Original Source | Check in Google Scholar | Full PDF (201.653 KB) | DOI: 10.29264/jinv.v18i2.11096

Abstract

Penelitian ini bertujuan untuk  mengetahui efisiensi teknis belanja  pemerintah daerah di sektor pendidikan di Kota dan Kabupaten di provinsi di Jawa Timur. Input data yang digunakan yaitu belanja pendidikan per kapita pada kota dan kabupaten di provinsi Jawa Timur pada tahun 2010-2019. Output yang digunakan adalah IPM, harapan lama sekolah dan rata-rata lama sekolah. Metode yang diterapkan  dalam pengukuran efisiensi ini adalah Data Envelopment Analysis (DEA), dengan output  perbandingan model CRS dan VRS. Hasil analisis DEA dengan asumsi CRS dan VRS menunjukkan hasil yang berbeda. Baik dengan menggunakan asumsi CRS atau VRS diketahui tidak ada daerah yang konsisten efisien selama periode 2010-2019
EFFECT OF THE NUMBER OF COMMISSIONERS AND PROPORTION OF INDEPENDENT COMMISSIONERS ON PUBLIC COMPANY PERFORMANCE Ida Masriani; Rahmat Setiawan; Wisnu Wibowo
Eksis: Jurnal Riset Ekonomi dan Bisnis Vol. 17 No. 1 (2022): April - September 2022
Publisher : STIE PGRI Dewantara Jombang

Show Abstract | Download Original | Original Source | Check in Google Scholar | DOI: 10.26533/eksis.v17i1.988

Abstract

This study examines whether the size of the board of commissioners and the proportion of independent commissioners affect the company's financial performance. This study uses a quantitative method with econometric calculations. Data were obtained from 236 companies listed on the Indonesia Stock Exchange in 2015-2019. The data were analyzed using panel data regression using three variables: the dependent variable ( dependent ), the independent variable ( independent ), and moderating variable. This research uses MRA ( Moderated Regression Analysis ) analysis technique which will be processed using STATA. This study proves that the size of the board of commissioners and the proportion of independent commissioners positively affect the company's financial performance. The test also involves a moderating variable in the form of government ownership. It results that the government ownership variable has no significant effect on the relationship between commissioners and financial performance. The findings of this study contribute as recommendations to stakeholders involved in the management of the company, especially public companies
Efisiensi belanja pendidikan di jawa timur (penerapan data envelopment analysis) Wahyu Aditama P; Tri Haryanto; Wisnu Wibowo
INOVASI Vol 18, No 2 (2022): Mei
Publisher : Faculty of Economics and Business Mulawarman University

Show Abstract | Download Original | Original Source | Check in Google Scholar | DOI: 10.30872/jinv.v18i2.11096

Abstract

Penelitian ini bertujuan untuk  mengetahui efisiensi teknis belanja  pemerintah daerah di sektor pendidikan di Kota dan Kabupaten di provinsi di Jawa Timur. Input data yang digunakan yaitu belanja pendidikan per kapita pada kota dan kabupaten di provinsi Jawa Timur pada tahun 2010-2019. Output yang digunakan adalah IPM, harapan lama sekolah dan rata-rata lama sekolah. Metode yang diterapkan  dalam pengukuran efisiensi ini adalah Data Envelopment Analysis (DEA), dengan output  perbandingan model CRS dan VRS. Hasil analisis DEA dengan asumsi CRS dan VRS menunjukkan hasil yang berbeda. Baik dengan menggunakan asumsi CRS atau VRS diketahui tidak ada daerah yang konsisten efisien selama periode 2010-2019