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A Scenario Study of Investment: Portfolio Modeling Through Simulation on Virtual Management Funding Corporation Suryawati, Baiq Nurul
Jurnal Ekonomi dan Bisnis Vol 3 No 1 (2017): Ekonobis - Jurnal Ekonomi dan Bisnis, Maret 2017
Publisher : Fakultas Ekonomi dan Bisnis Universitas Mataram

Show Abstract | Download Original | Original Source | Check in Google Scholar | DOI: 10.29303/ekonobis.v3i1.5

Abstract

This investment scenario study was created with the help of a virtual company engaged in investment management, called UoM Fund Management Corportation. The simulation with the establishment of this virtual company will facilitate the application and understanding of various portfolio theory and modeling. It is recommended to investors to divide their investment activities into three categories, Strategy Determinants (Team S), Alpha or Advantage (A) Finders, and Quantitative Research Assessors (Q). This division of activities is expected to maximize the profits of investors.
ANALISIS KEMAMPUAN DINAMIS DAN KEUNGGULAN BERSAING: SEBUAH STUDI PADA PT. BANK RAKYAT INDONESIA TBK Wardani, Laila; Suryawati, Baiq Nurul
JURNAL SOSIAL EKONOMI DAN HUMANIORA Vol 4, No 2 (2018): JURNAL SOSIAL EKONOMI DAN HUMANIORA
Publisher : LPPM Universitas Mataram

Show Abstract | Download Original | Original Source | Check in Google Scholar | DOI: 10.29303/jseh.v4i2.10

Abstract

Tujuan yang diangkat dari penelitian ini adalah menganalisis dan menelaah lebih dalam lagi lingkungan internal melalui kemampuan dinamis yang dapat dilihat sebagai suatu pendekatan yang muncul dan berpotensi integratif untuk memahami sumber-sumber baru keunggulan kompetitif. Penelitian ini menyarankan bahwa kemampuan dinamis menjanjikan baik dalam hal potensi penelitian masa depan maupun sebagai bantuan untuk pihak manajemen berusaha demi mendapatkan keuntungan kompetitif dalam lingkungan yang semakin menuntut. Untuk menganalisa lingkungan perusahaan ini umumnya  digunakan analisa SWOT yang didasarkan pada logika yang dapat memaksimalkan  kekuatan (strengths) dan peluang (opportunities), namun secara bersamaan dapat meminimalkan kelemahan (weaknesses) dan ancaman (threats). Kekuatan dan kelemahan dimiliki oleh organisasi dan merupakan kondisi lingkungan internal perusahaan, sedangkan peluang dan ancaman terdapat pada lingkungan eksternal juga merupakan yang dihadapi oleh setiap perusahaan. Manajemen strategis saat ini memusatkan perhatian bagaimana perusahaan dapat menghasilkan kinerja yang tinggi dengan mempertahankan keunggulan kompetitif. Metode penelitian ini adalah studi literatur dengan berbagai sumber yang memiliki keterkaitan dalam penulisannya. Perubahan kompetitif yang signifikan cukup jarang atau cukup mahal untuk disadari, kemudian penambahan biaya dari kemampuan dinamis dianggap tidak akan cocok dengan manfaat rata-rata bahkan jika sebuah keberhasilan yang sukses penting sekali mungkin disarankan sebaliknya. Untuk itu pendekatan kemampuan dinamis ini digunakan dalam rangka menekankan pemanfaatan perusahaan yang ada, internal dan eksternal dengan kompetensi yang spesifik untuk mengatasi perubahan lingkungan.
PENGARUH PROFITABILITAS TERHADAP NILAI PERUSAHAAN DENGAN GOOD CORPORATE GOVERNANCE SEBAGAI VARIABEL MODERASI PADA PERUSAHAAN MAKANAN DAN MINUMAN YANG TERDAFTAR DI BURSA EFEK INDONESIA PERIODE 2014-2017 Suryawati, Baiq Nurul; Puspitasari, Desi
JURNAL SOSIAL EKONOMI DAN HUMANIORA Vol 5, No 1 (2019): JURNAL SOSIAL EKONOMI DAN HUMANIORA
Publisher : LPPM Universitas Mataram

Show Abstract | Download Original | Original Source | Check in Google Scholar | DOI: 10.29303/jseh.v5i1.26

Abstract

Penelitian ini bertujuan untuk menguji pengaruh profitabilitas terhadap nilai perusahaan dengan Good Corporate Governance sebagai variabel moderasi, variabel dependen dalam penelitian ini yaitu nilai perusahaan, variabel independenya yaitu profitabilitas dan variabel moderasinya adalah Good Corporate Governance. Populasi dalam penelitian ini, yaitu  perusahaan makanan dan minuman yang terdaftar di Bursa Efek Indonesia periode 2014-2017. Teknik pemilihan sampel dengan metode purposive sampling dengan kriteria tertentu, berdasarkan kriteria tersebut didapatkan 8 perusahaan makanan dan minuman yang menjadi sampel penelitian. Teknik analisis data yang digunakan adalah regresi sederhana dan Moderated Regression Analysis (MRA). Hasil penelitian ini menunjukkan bahwa profitabilitas berpengaruh positif dan signifikan terhadap nilai perusahaan dan Good Corporate Governance tidak memoderasi pengaruh profitabilitas terhadap nilai perusahaan makanan dan minuman
Audit Pemasaran Dan Pengembangan Usaha Mikro, Kecil dan Menengah Di Dusun Koloh Berora Kabupaten Lombok Utara Baiq Nurul Suryawati; Iwan Kusmayadi; Laila Wardani; Sulaeman Sarmo; I Nyoman Nugraha Ardana Putra
Jurnal Gema Ngabdi Vol. 2 No. 2 (2020): Jurnal Gema Ngabdi
Publisher : Universitas Mataram

Show Abstract | Download Original | Original Source | Check in Google Scholar | DOI: 10.29303/jgn.v2i2.74

Abstract

A marketing audit is needed to facilitate business owners who have difficulty developing business activities in the Koloh Berora hamlet. This effort was made to change the traditional marketing concept of business owners who are only oriented towards passive marketing. Passive marketing is characterized by the lack of business from the owners of various types of businesses in the village of Koloh Berora to recognize consumers. Most businesses actually run just because they join in. A simple marketing audit effort is carried out through various method for example: focus group discussion, best practice, and brainstorming to observe what products consumers like, the simple thing is to keep evidence of frequent order records. This inventory inventory effort is expected to help business owners to better identify their customers. Discipline in recording or archiving stock books is an important key to the success of the marketing audit. Further business development can be identified if the business owners have a high commitment to continue the marketing audit process itself.  
Studi Kajian tentang Evolusi Manajemen Strategi: Studi Kasus pada PT Kereta Api Indonesia (Persero) Baiq Nurul Suryawati
Valid: Jurnal Ilmiah Vol 17 No 2 (2020)
Publisher : Sekolah Tinggi Ilmu Ekonomi AMM

Show Abstract | Download Original | Original Source | Check in Google Scholar

Abstract

This study adapted various studies that have been conducted with regard to strategy management reviews. This study reveals the evolution of research in the field of strategy management that has been carried out by Furrer, et al. In his analysis Furrer, et al, identified evolution that shows the direction of integration between corporate-level strategies and competition, therefore, future research questions must be related to the integration of corporations and competition strategies and their implications for company performance in terms of their position in a competitive environment. Meanwhile, referring to what has been revealed by Furrer, et al., Several companies in Indonesia can be identified as currently undergoing what is called the Knowledge-based Theory of Firm phase, where the phase is the phase of knowledge creation as the basis for sustainable competitive advantage. Case study at PT. Kereta Api Indonesia (Persero) shows the findings of the dependence of PT. KAI through loans or binding contracts so that competitive advantage cannot be achieved. The recommendations suggested to be implemented for PT. KAI is not to dwell on the second position of the evolutionary phase of strategy management according to Wade and Schneberger, the Resource Dependency Theory phase. This is needed for Indonesian companies to win global competition.
A Scenario Study of Investment: Portfolio Modeling Through Simulation on Virtual Management Funding Corporation Baiq Nurul Suryawati
Journal of Economics and Business Vol 3 No 1 (2017): Ekonobis, Maret 2017
Publisher : Fakultas Ekonomi dan Bisnis Universitas Mataram

Show Abstract | Download Original | Original Source | Check in Google Scholar | DOI: 10.29303/ekonobis.v3i1.6

Abstract

Studi skenario tentang investasi ini dibuat dengan bantuan perusahaan virtual yang bergerak di bidang manajemen investasi, yang disebut UoM Fund Management Corportation. Adanya simulasi dengan pembentukan perusahaan virtual ini akan memudahkan penerapan dan pemahaman berbagai macam teori portofolio dan permodelannya. Direkomendasikan kepada para investor untuk membagi kegiatan investasi mereka dalam tiga kategori, Penentu Strategi (Tim S), Pencari Alpha atau Keuntungan (A), dan Penilai Riset Kuantitatif (Q). Pembagian aktivitas ini ditengarai akan memaksimalkan keuntungan para investor.
PENGUATAN EKONOMI MASYARAKAT PASCA BENCANA GEMPA MELALUI PENDAMPINGAN PEMBUATAN USAHA RUMAHAN DI PEMENANG BARAT Lalu Unsun Nidhal; Baiq Nurul Suryawati
SELAPARANG: Jurnal Pengabdian Masyarakat Berkemajuan Vol 3, No 2 (2020): Mei
Publisher : Universitas Muhammadiyah Mataram

Show Abstract | Download Original | Original Source | Check in Google Scholar | Full PDF (240.876 KB) | DOI: 10.31764/jpmb.v3i2.2106

Abstract

ABSTRAKProgram pengabdian ini ditujukan untuk memfasilitasi masyarakat yang kesulitan secara ekonomi pasca gempa di tahun 2018. Masyarakat yang mengandalkan perekonomiannya hanya dari satu sumber yaitu kepala rumah tangga dan saja serta dari sektor pariwisata, mengalami kendala ekonomi yang sangat besar pasca terjadinya gempa di tahun 2018.  Program pengabdian ini dilakukan untuk memberikan pendampingan pada istri dan kaum perempuan untuk dapat memperoleh pendapatan sendiri dari memulai usaha rumahan dengan meningkatkan keterampilan mereka. Usaha rumahan yang dimaksud adalah membuat kue populer seperti putu ayu, roti kukus, sumping perenggi, dan pukis. Program pengabdian ini memuat tahapan-tahapan antara lain, tahapan pertama mengajarkan keterampilan membuat usaha rumahan sederhana, memberikan penyuluhan tentang memulai usaha, dan membantu masyarakat sekitar membentuk kelompok usaha informal. Walaupun hasil penjualan, dan pemantauan menunjukkan bahwa capaian  penjualan tidak sesuai dengan yang diharapkan, namun upaya mengumpulkan penduduk untuk menggugah kepedulian mereka dalam membentuk kelompok usaha secara informal mulai dijalanankan. Kata kunci: bencana alam; keterampilan masyarakat; jiwa usaha; kue populer. ABSTRACTThis community service program is aimed at facilitating people who are economically difficult after the earthquake in 2018. Communities that rely on their economy from only one source, namely the head of the household and alone as well as from the tourism sector, experience enormous economic constraints after the earthquake in 2018. The program This dedication is done to provide assistance to wives and women to be able to earn their own income from starting a home business by improving their skills. The intended home-based business is making popular cakes such as putu ayu, steamed bread, perenggi sumping, and pukis. This service program includes the stages, among others, the first stage teaches the skills of making a simple home-based business, providing counseling about starting a business, and helping the surrounding community form informal business groups. Although the results of the sales and monitoring showed that the sales achievements were not as expected, efforts to gather residents to arouse their concerns in forming business groups informally began to be carried out. Keywords: natural disaster; citizen skill; entrepreneurship; common snacks.
Kebijakan Dividen Sebagai Pemoderasi Dan Pengaruhnya Terhadap Likuiditas, Leverage Dan Profitabilitas Pada Nilai Perusahaan (Kasus Perusahaan Manufaktur Yang Terdaftar Di Bursa Efek Indonesia (BEI) Tahun 2017-2019) Parida Parida; Ni Ketut Surasni; Baiq Nurul Suryawati; Siti Aisyah Hidayati
JISIP: Jurnal Ilmu Sosial dan Pendidikan Vol 6, No 1 (2022): JISIP (Jurnal Ilmu Sosial dan Pendidikan)
Publisher : Mandala

Show Abstract | Download Original | Original Source | Check in Google Scholar | DOI: 10.36312/jisip.v6i1.2784

Abstract

This study aims to determine the effect of liquidity, leverage and profitability to the firm value with dividend policy as moderating variables in Manufacturing company listed on the Indonesia Stock Exchange (IDX) in 2017-2019.This type of research is associative quantitative research. The data collection method used is Sample Survey method. The population in this study are all manufacturing companies listed on Indonesia Stock Exchange (IDX) of 182 companies. Sampling method with purposive sampling. And based on the criteria of the number of samples as many as 66 out of 182 companies. data analysis using multiple regression analysis with Moderated Regression Analysis (MRA).The results showed that: Liquidity significant positive effect on firm value. Leverage significant positive effect on firm value. Profitability significant positive effect on firm value. Dividend policy is able to strengthen the effect of liquidity on the firm value. Dividend policy weakens the effect of leverage on the firm value. Dividend policy is not able to strengthen the effect of profitability on the firm value
Analisis Manajemen Modal Kerja UMKM di Kota Mataram Iwan Kusmayadi; Baiq Nurul Suryawati; Laila Wardani
JURNAL KOMPETITIF : MEDIA INFORMASI EKONOMI PEMBANGUNAN, MANAJEMEN DAN AKUNTANSI Vol 5 No 1 (2019)
Publisher : Fakultas Ekonomi Universitas Islam Al-Azhar

Show Abstract | Download Original | Original Source | Check in Google Scholar | Full PDF (807.257 KB)

Abstract

The focus of this study is to determine the effectiveness of working capital management in UMKM in the city of Mataram. Based on data from the Office of Cooperatives and UMKM in Mataram, the number of UMKM was recorded as 130 UMKM with various types of businesses, by determining the number of samples of 13 UMKM with variations in comparison of sales turnover and expenditure of more than 50% according to data issued by the Mataram City Cooperative and UMKM Office . The results of the study of the management of UMKM working capital in the city of Mataram showed that the amount of working capital grew even though at a low level. Management of working capital in UMKM in Mataram city in general can still be said to be ineffective, being in an overlapping position over the past three years which indicates too much unemployed funds which have an impact on declining profit growth. Fostering small businesses by related agencies, tertiary institutions and LSM needs to be raised to reduce problems experienced by small businesses, especially capital assistance, business management, production and marketing techniques.
ANALISIS VARIANS MULTIVARIAT TERHADAP RETURN DAN RISIKO PORTOFOLIO YANG DITENTUKAN DENGAN ELTON GRUEBER PADBERG MODEL PADA EMPAT KELOMPOK INDEKS (LQ 45, SRI-KEHATI, JII, DAN ISSI) Baiq Nurul Suryawati
Distribusi - Journal of Management and Business Vol. 4 No. 1 (2016): Distribusi, Maret 2016
Publisher : Fakultas Ekonomi dan Bisnis Universitas Mataram

Show Abstract | Download Original | Original Source | Check in Google Scholar | DOI: 10.29303/distribusi.v4i1.6

Abstract

AbstractThis research emphasizes the difference between risk and return on four group of index, which are LQ 45, SRI KEHATI, JII and ISSI. Test of significance conduct by doing Analysis of Varians Multivariate. The Analysis of Varians Multivariate results more accurate than repeatedly t-test among group. EGP Model mostly explained as Single Index Model in various textbook. Thus, Single Index Model only clarified influence of a Single Market Index for Individual Index, EGP Model use Reward to Volatility (RVOL) for measuring excess return to systematic risk.  The results shows that after 15 years from sharia index introduce in Indonesian Stock Exchange, it shows significant difference between sharia index and conventional stock market. However, LQ 45 shows it persistence as high return high risk index consistently. The Analysis VariansMultivariate also shows SRI KEHATI, as an ethic businesses representative in Indonesian Stock Exchange as a weaker index. SRI KEHATI shows that various group portfolio form by EGP Model could not exceed JII performance. Therefore, it concludes that indexes provide by capital market to facilitise the preference of investor whereas,it is tremendously various. To invest in stock market, investor need to clarify their wants and needs. Whether their wants is to gain more return or to accommodate their risk, and their preferrence to invest in various kind of business or  certain business such as business based on ethic or faith.Keywords: Analysis of Varians Multivariate; Risk and Return; EGP Model; Indexes; LQ 45; Sri-Kehati; Jakarta Islamic Index (JII); and Indeks Saham Syariah Indonesia (ISSI)