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Nuryasman MN
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Fakultas Ekonomi, Universitas Tarumanagara, Jakarta Jl. Tanjung Duren Utara No. 1, Grogol, Jakarta Barat, DKI Jakarta
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INDONESIA
Jurnal Ekonomi
ISSN : 08549842     EISSN : 25804901     DOI : 10.24912
Core Subject : Economy,
Jurnal Ekonomi [p-ISSN 0854-9842 : e-ISSN 2580-4901] is a peer-reviewed journal published three times a year (March, July, and November) by Faculty of Economics, Universitas Tarumanagara. Jurnal Ekonomi is intended to be the journal for publishing articles reporting the results of research on economics. Jurnal Ekonomi invites manuscripts in the various topics include, but not limited to, functional areas of Business studies, ethics; Education issues, entrepreneurship, electronic markets; Services, strategic alliances; Microeconomics; Behavioural and health economics; Government regulation, taxation, law issues; Macroeconomics; Financial markets, investment theories, banking; International economics, FDI; Economic development, system dynamics; Environmental studies, urban issues, emerging markets; Empirical studies, quantitative/experimental methods.
Articles 583 Documents
Implementasi Kombinasi 3ic Tools Sebagai Penentu Optimasi Pengendalian Persediaan Minyak Goreng Purnomo, Hery
Jurnal Ekonomi Vol 23, No 2 (2018): July 2018
Publisher : Fakultas Ekonom dan Bisnis, Universitas Tarumanagara

Show Abstract | Download Original | Original Source | Check in Google Scholar | DOI: 10.24912/je.v23i2.368

Abstract

The purpose of this study were: 1) To analyze the brands of cooking oil that entered the class A classification using the ABC method, 2). To maximize safety stock that must be provided, and 3) determine the most Reorder Point for cooking oil products that enter in class A. This research is a descriptive research with quantitative approach. Data collection uses observation, and interview studies. In data analysis techniques, the authors do it in three stages, namely the first stage of ABC analysis to identify products in class A, B, or C; the second stage calculates safety stock for cooking oil products that enter class A; and the third stage determines the size of the Reorder Point. Then taken the conclusion according to the purpose of research. The results of this research show that from 86 types of brands and packaging of cooking oil, there are 28 packs that belong to category A, with the highest safety stock calculation is on Sugarap brand oil of Reffil 2 Liter, and Reorder Point at most on brand oil of Rosebrand Packaging Reffil 1 liter.
PENGARUH UKURAN PERUSAHAAN, LEVERAGE, RISIKO SISTEMATIK, DAN INVESTMENT OPPORTUNITY SET TERHADAP EARNINGS RESPONSE COEFFICIENT PADA PERUSAHAAN MANUFAKTUR YANG TERDAFTAR DI BURSA EFEK INDONESIA PADA TAHUN 2012-2014 Sufiyati, Ivan Kurnia,
Jurnal Ekonomi Vol 20, No 3 (2015): November 2015
Publisher : Fakultas Ekonom dan Bisnis, Universitas Tarumanagara

Show Abstract | Download Original | Original Source | Check in Google Scholar | DOI: 10.24912/je.v20i3.406

Abstract

The purpose of this research is to gain empirical evidence about the influence of firm size, leverage, systematic risk, and investment opportunity set on earnings response coefficient on manufacturing companies listed in Indonesia Stock Exchange for 2012-2014. Samples selected by using purposive sampling method. This research used a sample of one hundred fourty one manufacturing companies. The result of this research indicate that only systematic risk have an influence on earnings response coefficient while firm size, leverage, and investment opportunity set has not an influence on earnings response coefficient. For a better results, further research may add another variable that influence on earnings response coefficient.
Faktor-Faktor Yang Mempengaruhi Volatilitas Harga Saham Perusahaan Manufaktur Yosevin Gloria Angesti, Linda Santioso,
Jurnal Ekonomi Vol 24, No 1 (2019): March 2019
Publisher : Fakultas Ekonom dan Bisnis, Universitas Tarumanagara

Show Abstract | Download Original | Original Source | Check in Google Scholar | DOI: 10.24912/je.v24i1.450

Abstract

The purpose of this study is to find out and analyze the influence of dividend policy, earning volatility, debt policy, growth asset and earning per share. The research method used was purposive sampling with a total sample of 35 manufacturing companies listed on the Indonesia Stock Exchange (IDX). This research was conducted using years of observation, namely 2015-2017. The type of data used is secondary data. Data is obtained from financial statements taken from www.idx.com. Data analysis method used is descriptive statistical test,multicollinearity test,f test, t test and test coefficient of determination. Testing the hypothesis in this study uses the t test. The results of the study show that the dividend policy, earning volatility, debt policy and growth asset do not have a significant effect on share price volatility, while the earning per share has a significant negative effect on share price volatility.
PENGARUH SUPPLY CHAIN MANAGEMENT TERHADAP KINERJA PERUSAHAAN MELALUI KEUNGGULAN BERSAING Wulandari, Wulandari; Sari, Ria Nelly; L, Al Azhar
Jurnal Ekonomi Vol 21, No 3 (2016): November 2016
Publisher : Fakultas Ekonom dan Bisnis, Universitas Tarumanagara

Show Abstract | Download Original | Original Source | Check in Google Scholar | DOI: 10.24912/je.v21i3.31

Abstract

This research aims to examine the effect of supply chain management on firm performance. In this study, the effect of supply chain management on firm performance is intervened by competitive advantage. The sample of this study is manufacturing firms listed on Bursa Efek Indonesia (BEI) 2014. By using total sampling procedure, 137 firms were selected as a sample and questionnaires were sent to finance,production or marketing manager through corporate secretary. From 137 set questionnaires were sent, 64 sets were returned and due to missing data/incomplete answer so only 59 sets were analyzed. Data was analyzed by using SPSS program version 20.0. This study found that supply chain management positively effect firm performance. The findings showed that supply chain management positively effect the firm’s competitive advantage. Further, analyzed found that competitive advantage positively effect firm performance. Meanwhile, the results proved that ß value of relationship between the supply chain management and firm performance after entered by competitive advantage was decreased from 0.825 to 0,412. This research conclude that competitive advantage has a role as partial mediation variable.
PENGARUH KECERDASAN EMOSIONAL, TINGKAT PENDIDIKAN DAN KARIR TERHADAP KINERJA KARYAWAN (Studi kasus pada Sales Marketing PT Astra International Daihatsu Cabang Tangerang) Widayati, Catur
Jurnal Ekonomi Vol 21, No 2 (2016): July 2016
Publisher : Fakultas Ekonom dan Bisnis, Universitas Tarumanagara

Show Abstract | Download Original | Original Source | Check in Google Scholar | DOI: 10.24912/je.v21i2.491

Abstract

This study aims to determine the effect of Emotional Intelligence, Education and  Career  Levels  Of  Performance  (sales  marketing  case  study  on  PT  Astra International Daihatsu Branch Tangerang) using a descriptive approach Kuantitatif Sampel this peneliian employee sales force in PT Astra International Daihatsu Branch Tangerang. Using the questionnaire and SPSS analysis. These results indicate that the EQ variable has a positive and significant impact on employee performance variable partial  test  results  (test  T),  0.021  <0.05,  Pendididkan  rate  does  not  affect  the performance of employees with a partial test (t test) 0.452> 0.05 and career do not affect the performance of employees with a partial test (t test) 0.095> 0.05. 
STRATEGI PENGEMBANGAN NANOTEKNOLOGI DALAM RANGKA PENINGKATAN DAYA SAING INDUSTRI PERTANIAN NASIONAL DENGAN MENGGUNAKAN SWOT-ANP Rochman, E, Nurul Taufiqu; Sa’id, Gumbira; Daryanto, Arief; Nuryartono, Nunung
Jurnal Ekonomi Vol 15, No 3 (2010): November 2010
Publisher : Fakultas Ekonom dan Bisnis, Universitas Tarumanagara

Show Abstract | Download Original | Original Source | Check in Google Scholar | DOI: 10.24912/je.v15i3.173

Abstract

Nanotechnology is believed to give a significant added value to agricultural industry. Various applications of nanotechnology provide opportunities for improving the global competitiveness of agricultural industry. This study aims to assess nanotechnology development strategy at the national agricultural industry by using quantitative SWOT method and ANP in BOCR (benefit, opportunity, cost, risk) perspective. The results from these two approaches were then compared. There were four stages of research procedure that consists of 1) analyzing agricultural industries that apply nanotechnology using quantitative SWOT, 2) formulating nanotechnology development strategy in the TOWS matrix quantitatively, 3) determining strategy alternative for developing nanotechnology on agricultural industry with ANP in BOCR perspective and 4) assessing comparatively weight value of each strategy alternative using quantitative SWOT and ANP in BOCR perspective. Data was collected by conducting FGD (group discussion forum) for 20 participants and questionnaire to 10 experts in the field of food chemistry, agriculture, nanotechnology and policy. Results show that in formulation of nanotechnology development strategy on national agriculture industry, aspects of opportunities and positive impact are taken to account more than that risk and economic aspects. ANP results indicate that nanotechnology development on national agricultural industry is still in the early stage where strategy that leads to increased mastery of technology is payed more intention than the implementation of research result itself, socialization of nanotechnology safety and governance of policies. Strategy formulation done by ANP in BOCR perspective is slightly difference than that of done by quantitative SWOT method which uses only independent variables. The result of this study can be used as a reference for stake holders for strategic decision making in relation to improving competitiveness of national agricultural industry through the development of nanotechnology.
Iklim Organisasi, Kompetensi, Locus of Control, Kepuasan Kerja dan Kinerja ASN Oka Suryadinatha Gorda, Ni Luh Putu Ary Wahyuni,
Jurnal Ekonomi Vol 24, No 2 (2019): July 2019
Publisher : Fakultas Ekonom dan Bisnis, Universitas Tarumanagara

Show Abstract | Download Original | Original Source | Check in Google Scholar | DOI: 10.24912/je.v24i2.578

Abstract

Performance in carrying out its functions is related to employee job satisfaction and is influenced by skills, abilities and individual traits. The purpose of the study was to determine the effect of organizational climate, competence, locus of control, on job satisfaction and employee performance in the Badan Pendapatan Daerah Kota Denpasar. The sample was determined by 90 people with saturated sampling techniques. The analysis technique uses the structural equation modeling (SEM) model. The results of data analysis show that organizational climate has a significant effect on job satisfaction, competence has a significant effect on job satisfaction, locus of control has a significant effect on job satisfaction, organizational climate has a significant effect on performance, competence has a significant effect on performance, locus of control has a significant effect on performance. Job satisfaction has a significant effect on the performance of the Badan Pendapatan Daerah Kota Denpasar.
Analisis pengaruh leverage terhadap nilai perusahaan dengan kepemilikan manajerial dan arus kas bebas sebagai variabel pemoderasi Linawaty, Linawaty; Ekadjaja, Agustin
Jurnal Ekonomi Vol 22, No 1 (2017): March 2017
Publisher : Fakultas Ekonom dan Bisnis, Universitas Tarumanagara

Show Abstract | Download Original | Original Source | Check in Google Scholar | DOI: 10.24912/je.v22i1.189

Abstract

The purpose of this study is to examine whether or not the effect of leverage on firm value with management ownership and free cash flow as moderating variabel practice of manufacture firms listed in Indonesian Stock Exchange for period 2012-2014. Thirty five sample are selected by purposive sampling and used ordinary least square method to analysis. This study used secondary data such as firm financial statement that published during the observation year. Dependent variabel in this study is firm value practice of real estate firms listed in Indonesian Stock Exchange, while the independent variabels are leverage, management ownership, and free cash flow. The result shows that the impact of leverage is significant on firm value; Free Cash Flow is significant moderating leverage on firm, Management Ownership is not significant moderating leverage on firm value
PENGARUH KUALITAS MANAJER PAJAK TERHADAP PENGHINDARAN PAJAK DENGAN ETIKA MACHIAVELLIAN SEBAGAI PEMEDIASI Trisnawati, Estralita; Sembel, Roy; Gunawan, Juniati; Waluyo, Waluyo
Jurnal Ekonomi Vol 22, No 3 (2017): November 2017
Publisher : Fakultas Ekonom dan Bisnis, Universitas Tarumanagara

Show Abstract | Download Original | Original Source | Check in Google Scholar | DOI: 10.24912/je.v22i3.280

Abstract

This study aims to examine the effect of tax managers' quality on tax avoidanceof manufacturing industry firms listed on the Indonesia Stock Exchange withmachiavellian ethics as intervening. Using path analysis model with WarpPLS 5.0. This study examined the primary data for tax manager qualities and machiavellian ethics obtained from 103 tax managers working in manufacturing industry firms at IDX and secondary data from financial statements for tax avoidance. There are 10 tax avoidance indicators used as a proxy. This study gives results that the quality of tax managers have a significant positive effect on Machiavellian ethics. However, machiavellian ethics can not mediate the influence of tax manager quality on tax avoidance.
Faktor-faktor yang mempengaruhi minat berwirausaha pada mahasiswa fakultas ekonomi universitas tarumanagara Ayuningtias, Hazirah Amalia; Ekawati, Sanny
Jurnal Ekonomi Vol 20, No 1 (2015): March 2015
Publisher : Fakultas Ekonom dan Bisnis, Universitas Tarumanagara

Show Abstract | Download Original | Original Source | Check in Google Scholar | DOI: 10.24912/je.v20i1.307

Abstract

The purpose of this study was to determine whether there is a minimum of one variable influence of family environment, campus environment, personality, and entrepreneurship motivation towards entrepreneurship interest students of the Faculty of Economics, University Tarumanagara. This research was conducted using judgmental sampling method. Researchers distributed questionnaires to 310 respondents. From the research we concluded that the variables that most influence the interest in entrepreneurship students of the Faculty of Economics, University Taruamanagara is entrepreneurship motivation. The influence of the variable in sequence is personality, family environment and the campus environment. The results also showed that all variables have a positive and significant impact on the interest in entrepreneurship students of the Faculty of Economics, University Tarumanagara.

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