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PENGARUH FAKTOR BUDAYA ORGANISASI, MOTIVASI, PEMBERDAYAAN & LINGKUNGAN TERHADAP KINERJA ORGANISASI (STUDI KASUS PERGURUAN TINGGI SWASTA DI BANDAR LAMPUNG) Lestari, Winda Rika
Jurnal Manajemen dan Keuangan Vol 9, No 1 (2011): Jurnal Manajemen dan Keuangan
Publisher : Jurnal Manajemen dan Keuangan

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Abstract

The leader has important role in increasing organization performance and increasing or decreasing lecturers’ work satisfaction. Besides the organization performance factors, there are many factors influencing a lecturer work satisfaction level or achievement namely organization culture, motivation (work spirit), empowerment, and conducive environment. The increasing of culture, motivation, work empowerment and environment are expected to increase organization performance and at last to increase lecturers’ satisfaction. The aims of the research are 1) to know influence partially toward organization culture, motivation, work improvement and environment toward organization performance, 2) to know the influence simultaneously of organization culture, motivation, empowerment and environment toward organization performance in private college in Bandar Lampung. The result of the research indicates that organization culture, motivation, empowerment and environment have positive and significant influence toward organization performance level. The influence level simultaneously in organization performance is 0.66 (66%). Based on the result, it can be concluded that hypothesis indicating organization culture, motivation, improvement and environment variables, which has significant contribution toward organization performance, can be accepted. Moreover, organization culture, motivation, work empowerment and environment have influence toward performance organization individually. The influence levels are: organization structure contributing directly toward organization performance is 0.19, motivation contributing directly toward organization performance is 6.25%, empowerment contributing toward organization performance is 4.41% and environment contributing toward organization performance is 25%.   Keywords: Organization Culture, Motivation, Empowerment, Environment, Organization performance, and Work Satisfaction.
PENGARUH PENDAPATAN BUNGA DAN KREDIT SIMPAN PINJAM TERHADAP SISA HASIL USAHA PADA KOPERASI PEGAWAI REPUBLIK INDONESIA (KPRI) SATU JUNI SMK N 1 METRO Lestari, Winda Rika; Ni’mah, Ghina Rahmatun
Jurnal Manajemen dan Keuangan Vol 6, No 2 (2008): Jurnal Manajemen dan Keuangan
Publisher : Jurnal Manajemen dan Keuangan

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Abstract

Koperasi Pegawai Republik Indonesia (KPRI) Satu Juni is the one of cooperation that work in the unity of solve and borrow money. The condition of SHU it self that consist in Koperasi Pegawai Republik Indonesia (KPRI) Satu Juni at last two years had a decreasing, this case happened because the income of loan it self and credit of solve and borrow money that distributing is decrease.If looked the condition that happened in Koperasi Pegawai Republik Indonesia (KPRI) Satu Juni, there for the writer expose one of the important case that looked in what side the real condition of the biggest income of the loan and credit of solve and borrow the money give influence in rest of the final result of works.The hypothesis that showed by the writer are how big the income of loan and credit of solve and borrow money have a positive influence and significant in rest of the result.The analysis tools that used in this case result by using analysis program SPSS are the regression analysis tool, double linier, and double of correlation of coefficient.After calculate the result and discussion, therefore the final result that income of loan with r hitung 0,903 > r table 0,878 have positive relation in rest of the result and of the credit of solve and borrow money have positive relation and that things have a strongest of the relation r = 0,973. if looked big in F hitung sebesar 20,383 > Ftabel = 19,00 or significant 0,047 < 0,05, With that condition can said there is a significant of influence between income of loan and credit of solve and borrow money in rest of result.It is better if cooperative more care in rest of the final result that gotten from the important income for paying an activity of cooperative. More little the capital and donation that have more difficult to passing credit of solve and borrow money which distributed by cooperative. key word: income of loan and credit of solve and borrow money (KPRI) Satu Juni.
PERANCANGAN BALANCED SCORECARD SEBAGAI ALAT UNTUK ANALISIS KINERJA PADA IBI DARMAJAYA lestari, winda rika
Jurnal Manajemen dan Keuangan Vol 8, No 2 (2010): Jurnal Manajemen dan Keuangan
Publisher : Jurnal Manajemen dan Keuangan

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Abstract

IBI Darmajaya is one university in Lampung, which is always increased student growth from year to year. In its growth the IBI Darmajaya not have a comprehensive performance measurement method, to determine the position of IBI Darmajaya and improve their performance in the education industry in Lampung. The purpose and benefits in this study weeks to obtain the design model of the Balanced Scorecard performance measurement is accurate and appropriate for the IBI Darmajaya and measure its performance with the design model. The method used is a survey method and the method of literature. The method uses a questionnaire survey using a total sample of respondents and a sample of 94 student employees and faculty as much as 113 respondents (stratified random sampling method). The results showed that the design of the Balanced Scorecard on the financial perspective with the Current Ratio, Net Profit Margin, Return on Investment and Working Capital Turnover, all indicate the level of capability in operational funding and good liquidity. Customer perspective on student growth increased, the students who do not register due to work elsewhere 46.86% and 35.29% economic limitations. Internal business process perspective, the ratio of faculty to students in the effectiveness of class 1: 24. Lecturer S1 55%, 44% S2, and S3 1.6%, the level of lecturer performance both visible from the monitoring results on average in 2007 of 6.9. But universities should improve the quality of its library. And in the perspective of growth and learning, still less so in workshops, training and further studies are given to employees and lecturers. From Tridarma college and community service element of research still must be improved.Keyword: Balanced Scorecard, Performance.
KINERJA REKSADANA SAHAM SYARIAH DAN REKSADANA SAHAM KONVENSIONAL Lestari, Winda Rika
Jurnal Manajemen Magister Darmajaya Vol 1, No 01 (2015): Jurnal Manajemen Magister Darmajaya
Publisher : Jurnal Manajemen Magister Darmajaya

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Abstract

Mutual Fund is one of investment instrument which grows recently together with the growth of Indonesia stock market. In the growing, mutual fund starts to set Syariah principal in doing of its business. The main difference between Syariah mutual fund and conventional mutual fund is at the investment policy and the investor’s type. The aim of this study is to know whether there is a difference between Syariah mutual fund performance and conventional mutual fund. The population in this study is the mutual fund which is managed by Investment manager who manages the two sub Syariah mutual fund category and stock type conventional. Analysis method uses comparative method and average difference test by using independent sample t-test method through SPSS and Sharpe method to decide the best stock mutual fund rank. The research result shows that conventional stock mutual fund performance is better than Syariah stock mutual fund performance based on Sharpe method as 11.900, while based on independent sample t-test is proved that there is a significant difference between Syariah stock mutual fund performance and conventional stock mutual fund performance through the significance score as 0,012 > 0,05Key Words : Conventional Mutual Fund, Syariah Mutual Fund, Sharpe Method.
ANALISIS DAMPAK PENGUMUMAN DEVIDEN TERHADAP REAKSI PASAR (Study Pada Perusahaan Indeks LQ 45) Sari, Syara Purnama; Lestari, Winda Rika
Jurnal Manajemen Magister Darmajaya Vol 1, No 02 (2015): Jurnal Manajemen Magister Darmajaya
Publisher : Jurnal Manajemen Magister Darmajaya

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Abstract

The purpose of this research was to analyze market reaction on cash dividends announcement at LQ45 Index company in the year of 2014. The sample in this research was 22 companies, taken by purposive sampling technique with event study method. The data analysis method for hypothesis test used paired sample t-test. The result of this research was ten days before and ten days after dividends announcement showed negative market reaction and wasn`t the differenced abnormal return significantly between the company which shares dividend up and the company which shares dividend down. Based on the paired sample t-test result was  (α = 0.05) as significant. It means that negative abnormal return showed that increased dividends shares didn`t have distinct meaning to the information which descreased dividends shares. It indeceted that market wasn`t the information of increasing dividends announcement as references to make investment decision. Key words: Abnormal Return, Market Adjust Model dan Event Study.
MEMETAHKAN MODEL DETERMINASI PERSPEKTIF SUSTAINABILITY DI PERGURUAN TINGI KOTA BANDAR LAMPUNG DALAM UPAYA MENINGKATKAN DAYA SAING PERGURUAN TINGGI Sanusi, Anuar; Lestari, Winda Rika
Prosiding Seminar Nasional Darmajaya Vol 1 (2017): SEMNAS IIB DARMAJAYA
Publisher : Prosiding Seminar Nasional Darmajaya

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Abstract

Program kegiatan berkelanjutan perguruan tinggi saat ini belum sesuai dengan luaran yang diharapkan, yaitu; belum ada standarisasi sebuah model keberlanjutan (sustainability) di perguruan tinggi yang aplikabel dan efektif. Model program keberlanjutan (sutainability) di perguruan tinggi Kota Bandarlampung yang aplikabel dan efektif dalam upaya meningkatkan daya saing perguruan tinggi belum pernah dilakukan; dan kajian tentang model program perspektif keberlanjutan (sustainability) di perguruan tinggi Kota Bandarlampung belum optimal. Tujuan penelitian ini adalah untuk menyusun model keunggulan bersaing yang berkesinambungan sebagai bentuk keunggulan dalam menciptakan strategi berbasis sumberdaya perguruan tinggi; menjelasan (eksplanatoris) melalui arahan operasional variabel penelitian berdasarkan variabel – variabel perspektif pertumbuhan & pembelajaran, perspektif keuangan, perspektif pelanggan, dan perspektif internal /bisnis internal sebagai variabel bebas (independe) dan variabel terkait dengan issu masalah penelitian yaitu perspektif sustainability sebagai variabel terikat (dependen); dan untuk menemukan sebuah konsep yang mendasar dari keunggulan bersaing yaitu tercipta nilai dan distribusi, yang diinisiasi dengan keberadaan teknologi informasi untuk mendukung model keberlanjutan perguruan tinggi di Bandarlampung. Target khusus yang ingin dicapai dalam penelitian adalah ditemukannya model keberlanjutan, bahwa determinasi keterkaitan variabel pertumbuhan & pembelajaran, keuangan, pelanggan, dan internal /bisnis internal merupakan faktor-faktor strategis untuk mewujudkan perspektif keberlanjutan perguruan tinggi berdaya saing tinggi.Metode penelitian ini, yaitu metode survei penjelasan (explanatory survei method) yang mengandung deskripsi, dan penelitian relasional terfokusnya pada penjelasan hubungan antar variabel. Variabel Perspektif pertumbuhan & Pembelajaran, diukur melalui indikator - indikator yang merupakan ciri dari variabel ini, yang dioperasionalkan menjadi pernyataan, dengan menggunakan instrumen berupa kuesioner. Variabel perspektif keuangan dengan pendekatan total performance scorecard, diukur melalui indikator-indikator yang merupakan ciri dari variabel ini, yang dioperasionalkan menjadi pernyataan, dengan menggunakan data sekunder dari perguruan tinggi. Pendekatan prototipe model perguruan tinggi keberlanjutan (sustainability) menggunakan Panel Least Square (PLS) dengan bantuan program Eviews Versi 8.Kata Kunci: Sustainability, Pertumbuhan & Pembelajaran, Keuangan, Pelanggan, dan Internal /Bisnis Internal.
Model Koreksi Kesalahan dalam Mengukur Pengaruh Akad-Akad Pembiayaan terhadap Profitabilitas pada Bank Muamalat Indonesia Yudhistira Ardana; Wulandari Wulandari; Winda Rika Lestari
Jurnal Masharif al-Syariah: Jurnal Ekonomi dan Perbankan Syariah Vol 5, No 1 (2020)
Publisher : Universitas Muhammadiyah Surabaya

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Abstract

Jumlah bank syariah di Indonesia dari tahun ke tahun semakin meningkat dan menunjukkan bahwa bank syariah mendukung pelaksanaan pembangunan nasional. Persaingan antar bank syariah dalam hal inovasi produk juga semakin menarik. Penelitian ini bertujuan untuk mengnalisis akad pembiayaan murabahah, mudharabah, dan musyarakah terhadap profitabilitas pada Bank Muamalat. Penelitian ini menggunakan model koreksi kesalahan dalam melakukan analisis. Hasil penelitian menunjukkan bahwa baik dalam jangka pendek maupun jangka panjang variabel akad murabahah dan musyarakah berpengaruh negatif tidak signifikan terhadap profitabilitas Bank Muamalat. Sedangkan variabel akad mudharabah berpengaruh negatif signifikan baik jangka pendek maupun jangka panjang terhadap profitabilitas Bank Muamalat.
ANALISIS PERBEDAAN RETURN SAHAM SEBELUM DAN SESUDAH MELAKUKAN STOCK SPLIT PADA PERUSAHAAN YANG TERDAFTAR DI BURSA EFEK INDONESIA (BEI) Winda Rika Lestari
GEMA : Jurnal Gentiaras Manajemen dan Akuntansi Vol 4 No 1 (2012): GEMA : Jurnal Gentiaras Manajemen dan Akuntansi
Publisher : Sekolah Tinggi Ilmu Ekonomi Gentiaras

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Abstract

Stock split is one of corporate action which done by company with the purpose to arrangethe stock price which traded become more active. The purpose of this research is to analyze thedifferences of stock return and stock liquidity before and after stock split at companies listed inIndonesia Stock Exchange Periode 2005-2009. The stock liquidity in this research measured usingthe trading volume parameter because the trading volume is the increasing of buying and sellingactivity by the investor in Indonesia Stock Exchange. The characteristic of this research is eventstudy, that is the study to learn the market reaction toward an event or the information of eventpublished as an announcement. The samples in this research are 27 companies with purposivesampling technique, that is using stock split sample in year 2005-2009 and does not perform theother corporate action. The analysis model is used paired sample t-test by comparing 15 days beforeand 15 days after stock split. The result of this research shows that there is no the average ofsignificant differences among stock return and after stock split, while the stock liquidity shows thatthere is the average of significant differences volume before and after stock split.
Financial Distress Prediction; Springate, Zmijewski, and GroverMethod Anandha Sartika Putri; Rico Elhando Badri; Edi Pranyoto; Susanti Susanti; Winda Rika Lestari
Prosiding International conference on Information Technology and Business (ICITB) 2020: INTERNATIONAL CONFERENCE ON INFORMATION TECHNOLOGY AND BUSINESS (ICITB) 6
Publisher : Proceeding International Conference on Information Technology and Business

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Abstract

The purpose of this study was to investigate the recommended method for predicting financial distress. There were 3 methods was used in this study, namely the Springate method, the Zmijewski method, and the Grover method. This study focused on the goods and consumer industrial sector companies listed on the IDX during the 2014-2018 period. The result of this study found that the Springate method had the highest level of sensitivity in predicting financial distress. In addition, this study also found that the Zmijewski method had the greatest accuracy and the smallest error level compared to other methodsKeywords: Financial Distress Method, Springate Method, Zmijewski Method, Grover Method
Financial Literacy and Financial Behavior on Investment Decisions: Lampung Investors Winda Rika Lestari; Yosua Theo Herlia; Lukmanul Hakim
Prosiding International conference on Information Technology and Business (ICITB) 2022: INTERNATIONAL CONFERENCE ON INFORMATION TECHNOLOGY AND BUSINESS (ICITB) 8
Publisher : Proceeding International Conference on Information Technology and Business

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Abstract

This study aims to analyze financial literacy and financial behavioral factors that affect investment decisions for investors in Lampung. This study will focus on investors in Lampung with more than one year of investment experience. The data used is primary data collected through online questionnaires. While the method used is a quantitative method with multiple linear regression approach. This study uses the Investment Decision variable as the dependent variable, while the independent variable consists of Financial Literacy, Herding, and Risk Tolerance. The results of this study indicate that financial literacy, risk tolerance, and herding have a significant effect on investment decisions. This means that investors tend to accept information and follow the decisions of others, where the greater the financial literacy, herding, and risk tolerance factors, the better the investor's decisions will be.Keywords: Investment Decision, Financial Literacy, Risk Tolerance, Herding