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Pengaruh Efikasi Diri Guru Dan Budaya Sekolah Terhadap Kinerja Guru Ekspatriat Dimoderasi Oleh Kecerdasan Budaya (Studi Di Kota Tangerang Selatan) Agus Budi Santosa; Maria Ayu
JURNAL ADMINISTRASI & MANAJEMEN Vol 12, No 3 (2022): Jurnal Administrasi dan Manajemen
Publisher : Universitas Respati Indonesia

Show Abstract | Download Original | Original Source | Check in Google Scholar | DOI: 10.52643/jam.v12i3.2341

Abstract

Penelitian ini bertujuan untuk menguji dan mengidentifikasi pengaruh efikasi diri guru dan budaya sekolah terhadap kinerja guru ekspatriat, serta untuk mengetahui dan mengidentifikasi apakah kecerdasan budaya memoderasi pengaruh efikasi diri guru dan budaya sekolah terhadap kinerja guru ekspatriat. Teknik sensus yang digunakan dalam penelitian ini dengan populasi 30 guru ekspatriat di Tangerang Selatan. Data primer digunakan dengan menggunakan kuesioner. Analisis data menggunakan regresi linier. Berdasarkan hasil penelitian diperoleh hasil efikasi diri dan budaya sekolah berpengaruh positif terhadap kinerja guru. Hasil penelitian ini juga menyimpulkan bahwa kecerdasan budaya tidak secara signifikan memoderasi pengaruh efikasi diri dan budaya sekolah terhadap kinerja guru
Pengaruh Rasio Keuangan Terhadap Pertumbuhan Laba Pada Perusahaan Manufaktur Tahun 2019-2021 Inna Indaryani; Maryono; Agus Budi Santosa
Jurnal Akuntansi Profesi Vol. 13 No. 02 (2022): Jurnal Akuntansi Profesi
Publisher : Universitas Pendidikan Ganesha

Show Abstract | Download Original | Original Source | Check in Google Scholar | DOI: 10.23887/jap.v13i02.50911

Abstract

Penelitian ini bertujuan untuk menguji pengaruh current ratio, total asset turnover, debt to asset ratio, net profit margin, dan return on asset terhadap pertumbuhan laba pada perusahaan manufaktur yang terdaftar di Bursa Efek Indonesia (BEI) di tahun 2019 – 2021. Populasi penelitian meliputi seluruh perusahaan manufaktur yang terdaftar di BEI periode tahun 2019 – 2021. Teknik sampling yang digunakan adalah purposive sampling dengan data yang diperoleh adalah 325 sampel. Metode analisis data yang digunakan adalah analisis regresi linier berganda. Hasil penelitian ini menunjukkan bahwa net profit margin dan return on asset berpengaruh positif signifikan terhadap pertumbuhan laba, sedangkan debt to asset ratio. berpengaruh negatif signifikan terhadap pertumbuhan laba. Akan tetapi, current ratio dan total asset turnover tidak berpengaruh terhadap pertumbuhan laba.
PENGARUH KOMPETENSI PROFESIONAL DAN DISIPLIN KERJA TERHADAP KINERJA GURU DENGAN GAYA KEPEMIMPINAN TRANSFORMASIONAL SEBAGAI MODERASI Shervaneela Devinta; Agus Budi Santosa
E-Bisnis : Jurnal Ilmiah Ekonomi dan Bisnis Vol 15 No 2 (2022): DESEMBER: Jurnal Ilmiah Ekonomi dan Bisnis
Publisher : STEKOM PRESS

Show Abstract | Download Original | Original Source | Check in Google Scholar | DOI: 10.51903/e-bisnis.v15i2.840

Abstract

This study aims and is useful to examine and analyze the impact of professional competence, work discipline, and transformational leadership on teacher performance, and whether professional competence and work discipline on teacher performance can be moderated by transformational leadership. The purpose of this research is to explain, as well as expand from previous research, namely about how the influence of professional competence and work discipline on teacher performance with transformational leadership as moderating. The sample in this study was obtained using a simple random sampling technique in the form of a questionnaire. The object of this research is all PNS Teachers of State Junior High Schools in Pekalongan City. This research shows the product that: (1). Professional competence has a positive and significant effect on teacher performance, (2). Work Discipline has a positive and significant effect on teacher performance, (3). Transformational leadership has a negative and significant effect on teacher performance, (4) Transformational leadership cannot moderate the effect between professional competence on teacher performance, (5). Transformational leadership cannot moderate work discipline on teacher performance.
Analisis pengaruh rasio keuangan terhadap Return On Asset (Roa) pada Perusahaan Perbankan Tahun 2017- 2021 Eka Septiyani; Maryono Maryono; Agus Budi Santosa
Fair Value: Jurnal Ilmiah Akuntansi dan Keuangan Vol. 5 No. 3 (2022): Fair Value: Jurnal Ilmiah Akuntansi dan Keuangan
Publisher : Departement Of Accounting, Indonesian Cooperative Institute, Indonesia

Show Abstract | Download Original | Original Source | Check in Google Scholar | DOI: 10.32670/fairvalue.v5i3.2424

Abstract

The purpose of this thesis is to analyze and test the effect of financial ratios on return on assets (ROA). This study has. Variables such as carrent adequacy ratio (CAR), non performing loan (NPL), net interest margin (NIM), operating costs to operating. Income and loan to deposit ratio (LDR). The research method used in this research is descriptive qualitative research analysis method. This study selects the banking industry on the variables studied. Retrieval of annual financial report data from the ojk web and the bei web. According to the selected sample criteria, 43 companies went public. Multiple linear regression test was used to analyze the data and the method to process the data was Microsoft Excel and SPSS 22. The results of this study shows the results of the variables car, and bopo variables have a negative significant effect on roa. Npl has no significant negative effect on ROA, and the variable nim has a positive and significant effect on ROA as will as. The ldr variable has no effect on ROA
Developing Creative Fashion Industry in Central Java Province Agus Budi Santosa; Agung Nusantara; Sri Nawatmi
MediaTrend Vol 17, No 2 (2022): OKTOBER
Publisher : Trunojoyo University of Madura

Show Abstract | Download Original | Original Source | Check in Google Scholar | DOI: 10.21107/mediatrend.v17i2.17101

Abstract

The advantage of the fashion industry are contributing to creating a workforce and creating high values of various commodities. The growth of the industrial sector becomes the mainstay of local government to increase Indonesia’s economy as one of the most dominant economic sectors. This article will analyze strategies and policies to develop the fashion industry with SWOT analysis. The research results showed the strengths aspects, like supportive local sources, cultural wealth, and available facilities and infrastructures. The supporting of opportunity aspects is the open chances of domestic and foreign markets and government concern and support. Developing human resources competencies, developing promotion as well as fashion product marketing, and cost aspects were conducted to develop the creative industry.
PREDICTIVE VOLATILITY MODELS ON JKSE AND FIVE STOCK INDEX FROM DEVELOPED COUNTRIES Sri Nawatmi; Agus Budi Santosa; Ali Maskur; Bambang Sudiyatno
International Journal of Economics, Business and Accounting Research (IJEBAR) Vol 7, No 1 (2023): IJEBAR, VOL. 07 ISSUE 01, MARCH 2023
Publisher : LPPM ITB AAS INDONESIA (d.h STIE AAS Surakarta)

Show Abstract | Download Original | Original Source | Check in Google Scholar | DOI: 10.29040/ijebar.v7i1.7347

Abstract

The global economy in 2021-2022 tends to slow down due to the Covid-19 pandemic, followed by the Russian invasion of Ukraine, which further weakens global economic conditions. This study aims to determine alternative predictive models for the JKSE and five developed country stock price indices (Singapore's FTSE, China's SSEC, Japan's Nikkei225, England's FTSE, and America's DowJones) during a time of slowing world economy (January 2021 – September 2022). The results of the study show that the JKSE shows lower volatility than the other five developed countries with a stock price index that tends to increase. The stock price indices for the five developed countries have high volatility and tend to decrease for China and Japan, while the stock price indices for Singapore, England and America tend to increase. An alternative predictive volatility model for JKSE stock returns is GARCH (1.1), Singapore's FTSE is ARCH (1), China's SSEC is ARCH (1), Japan's Nikkei 225 is GARCH (1.2) while the UK's FTSE100 and America's DowJones are EGARCH (1,1). These results indicate that FTSE and DowJones stock returns have a leverage effect where good news causes less volatility than bad news. When there is volatility in stock returns, especially FTSE100 and DowJones, business risk increases. This can cause stock investors to move their funds to countries with low investment risk
Analisis Pengaruh Dana Pihak Ketiga, Non Performing Loans, Capital Adequacy Ratio, Dan Loan To Deposit Ratio Terhadap Profitabilitas PT. Bank Mandiri (Persero) Tbk. Periode 2015-2021 Norma Sevi Layyinatusifa; Agus Budi Santosa
Management Studies and Entrepreneurship Journal (MSEJ) Vol. 4 No. 4 (2023): Management Studies and Entrepreneurship Journal (MSEJ)
Publisher : Yayasan Pendidikan Riset dan Pengembangan Intelektual (YRPI)

Show Abstract | Download Original | Original Source | Check in Google Scholar | DOI: 10.37385/msej.v4i5.1607

Abstract

Penelitian ini bertujuan untuk menguji dan menganlisis pengaruh Dana Pihak Ketiga, Non Performing Loans, Capital Adequacy Ratio dan Loan to Deposit Ratioterhadap Profitabilitas pada PT. Bank Mandiriperiode 2015-2021. Populasi dalam penelitian ini PT. Bank Mandiri, sampel yang digunakan seluruh jumlah populasi dijadikan sampel (sensus). Jenis penelitiannya dengan pendekatan kuantitatif, sumber datanya berupa data sekunder. Pengujian yang digunakan yaituanalisis linier berganda melalui uji asumsi klasik terlebih dahulu. Sementara pengujian model penelitian menggunakan uji koefesien determinasi, uji simultan (F) dan uji parsial (t). Sehingga hasil pengujian berdasarkan uji parsial menunjukkan bahwa variabel DPK berpengaruh negatif tidak signifikan terhadap ROA ditunjukkan dengan nilai sig 0,070 sehingga >0,05 dan nilai koefisien -5,363E-10. NPL berpengaruh negatif signifikan terhadap ROA ditunjukkan dengan nilai sig 0,000 sehingga <0,05 dan nilai koefisien -0,572. CAR berpengaruh negatif tidak signifikan terhadap ROA ditunjukkan dengan nilai sig 0,999 sehingga >0,05 dan nilai koefisien -9,250E-5. LDR berpengaruh positif signifikan terhadap ROA ditunjukkan dengan nilai sig 0,006 sehingga <0,05 dan nilai koefisien 0,041.
Intensitas Informasi dalam Pembentukan Sikap Konsumen Produk Ramah Lingkungan Sri Nawatmi; Agung Nusantara; Agus Budi Santosa
Management Studies and Entrepreneurship Journal (MSEJ) Vol. 4 No. 3 (2023): Management Studies and Entrepreneurship Journal (MSEJ)
Publisher : Yayasan Pendidikan Riset dan Pengembangan Intelektual (YRPI)

Show Abstract | Download Original | Original Source | Check in Google Scholar | DOI: 10.37385/msej.v4i3.1852

Abstract

Tujuan dari penelitian ini adalah untuk menguji kehandalan Theory of Planned Behavior dalam menjelaskan perilaku mahasiswa terkait dengan konsumsi komoditas ramah lingkungan. Variabel yang dipertimbangkan dalam penelitian ini adalah: purchase behavior, purchase intention, attitude, subjective norm, dan perceived behavioral control. Metode analisis yang digunakan adalah structural equation modeling berbasis kovarian (Covarianced Based SEM). CB-SEM adalah pendekatan konfirmasi yang memiliki fokus pada hubungan yang ditetapkan secara teoritis (Theoritical Driven) dan bertujuan untuk meminimalkan perbedaan antara matriks kovarians yang diimplikasikan dan matriks kovarians sampel. Dalam penelitian ini digunakan responden sebanyak 328 mahasiswa FEB Unisbank baik program studi D3, S1 maupun S2. Hasil penelitian ini memberikan kesimpulan umum bahwa Theory of Planned Behavior terbukti handal untuk menjelaskan perilaku konsumen komoditas ramah lingkungan. Kesimpulan lain yang menarik adalah model covarianced based SEM mampu mengidentifikasi lemahnya bentukan sikap perilaku responden tentang isu ramah lingkungan, khususnya yang berasal dari behavioral belief dan pengalaman empiris (outcome evaluation).