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JURNAL DINAMIKA EKONOMI PEMBANGUNAN
Published by Universitas Diponegoro
ISSN : 20892489     EISSN : 26203049     DOI : -
Core Subject : Economy,
Jurnal Dinamika Ekonomi Pembangunan published by Department of Economics and Development Studies Faculty of Economics and Business, Diponegoro University. Jurnal Dinamika Ekonomi Pembangunan published three times a year contains scientific articles that discuss state of the art theory and empirical studies in economics and development studies issues. The goal is to exchange ideas and knowledge among academics, researchers, government, and practitioners in economics and development studies. In addition to scientific articles, Jurnal Dinamika Ekonomi Pembangunan also receives articles containing conceptual ideas and policy discussions from academics, researchers, government, and practitioners.
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Articles 5 Documents
Search results for , issue "Vol 2, No 2 (2019): Agustus" : 5 Documents clear
HUBUNGAN PEMBANGUNAN EKONOMI TERHADAP KUALITAS LINGKUNGAN HIDUP DI PROVINSI JAWA TIMUR putri, selly febriana
JURNAL DINAMIKA EKONOMI PEMBANGUNAN Vol 2, No 2 (2019): Agustus
Publisher : Fakultas Ekonomika dan Bisnis, Universitas Diponegoro

Show Abstract | Download Original | Original Source | Check in Google Scholar | Full PDF (1123.367 KB) | DOI: 10.14710/jdep.2.2.58-70

Abstract

Penelitian ini bertujuan untuk mengetahui seberapa besar hubungan pembangunan ekonomi yang difokuskan pada sisi laju pertumbuhan Sektor Pertanian, Industri, dan Transportasi terhadap Kualitas Lingkungan Hidup di Provinsi Jawa Timur. Metode analisis yang digunakan dalam penelitian ini adalah analisis data panel dengan menggabungkan data cross section dan time series. Model yang digunakan dalam penelitian ini adalah Vector Error Correction Models (VECM) dan metode yang dipilih dalam penelitian ini adalah Granger Causality. Hasil penelitian dari metode analisis Granger Causality menunjukkan bahwa hubungan kausal antara laju pertumbuhan sektor Industri terhadap Indeks Kualitas Lingkungan Hidup sebesar 0.0470 signifikan dalam taraf 5%. Sektor Transportasi memiliki hubungan kausal sebesar 0.0000 terhadap Indeks Kualitas Lingkungan Hidup signifikan dalam taraf 5%. Sektor Pertanian memiliki hubungan kausal terhadap Indeks Kualitas Lingkungan Hidup signifikan dalam taraf 5%. Hipotesis Environmental Kuznet Curve terbukti di Jawa Timur berbentuk U-terbalik yang melandai.
DETERMINANTS OF THE DOWRY: FINDING FROM IFLS EAST Kurniawan, Randi
JURNAL DINAMIKA EKONOMI PEMBANGUNAN Vol 2, No 2 (2019): Agustus
Publisher : Fakultas Ekonomika dan Bisnis, Universitas Diponegoro

Show Abstract | Download Original | Original Source | Check in Google Scholar | Full PDF (953.521 KB) | DOI: 10.14710/jdep.2.2.71-79

Abstract

This study aims to analyze the factors that influence the amount dowry/wedding gift in marriage. The study used female individuals (n=1,532) from The Indonesia Family Life Survey (IFLS) East data who lived in 7 provinces in eastern Indonesia. Using multivariate regression, the results of this study found that the economic status and the level of education of female before marriage have positive effect on the amount of dowry. Geographical, ethnic, and religious factors can also explain the variation of dowry. Married female in East Nusa Tenggara province, Muslim’s female, and Bugis-Makassar-Toraja’s female receive higher dowry than other counterparts. The results of this study provide evidence regarding the reasons for the high dowry in several communities in eastern part of Indonesia.
PENGARUH INKLUSI KEUANGAN TERHADAP STABILITAS SISTEM KEUANGAN (STUDI KASUS : SELECTED ASIA DEVELOPING COUNTRIES TAHUN 2011-2016) Hardiyanto, Yudha Prakasa
JURNAL DINAMIKA EKONOMI PEMBANGUNAN Vol 2, No 2 (2019): Agustus
Publisher : Fakultas Ekonomika dan Bisnis, Universitas Diponegoro

Show Abstract | Download Original | Original Source | Check in Google Scholar | Full PDF (1161.151 KB) | DOI: 10.14710/jdep.2.2.1-19

Abstract

This research aims to analyse the financial inclusion relationship to financial system stability in developing countries in Asia. The data used in this study are panel data, a combination of time series data from 2011-2016 and cross section of seven developing countries in Asia, namely Bangladesh, Indonesia, India, Malaysia, Pakistan, Thailand and Turkey. This research was conducted with quantitative methods. Quantitative method is done by tobit regression estimation technique The use of tobit regeresi estimation technique is used because the dependent variable is AFSI in a certain range or censored.The result of this study indicate that financial inclussion has a negative and insgignificant influence on financial system stability in selected Asia developing countries. In addition, other variables that a significant effect on financial system stability are the ratio of current assets to deposits and short-term funding, non foreign direct invesment and private credit ratio, significant influence on teh stability of the country’s financial system. 
ANALISIS PENGARUH KETERBUKAAN EKONOMI TERHADAP PERTUMBUHAN EKONOMI (STUDI KASUS: ASEAN TAHUN 2007 – 2017) Purnomo, Rahmi Nuraini
JURNAL DINAMIKA EKONOMI PEMBANGUNAN Vol 2, No 2 (2019): Agustus
Publisher : Fakultas Ekonomika dan Bisnis, Universitas Diponegoro

Show Abstract | Download Original | Original Source | Check in Google Scholar | Full PDF (967.713 KB) | DOI: 10.14710/jdep.2.2.20-35

Abstract

The era of globalization demands an increasingly broad economic openness from every country in the world, both openness in foreign trade (trade openness) and openness to the financial sector. In theory, economic openness benefits all countries involved. The advantages of trade openness include opening up wider market access to achieving higher levels of efficiency and economic competitiveness, as well as opportunities for greater employment. Openness in the financial sector can encourage the entry of foreign capital (capital inflow), and accelerate the occurrence of capital accumulation and technology transfer. This study aims to analyze the effect of economic openness on economic growth in ASEAN (Indonesia, Malaysia, Singapore, Thailand, Philippines, Vietnam, Brunei Darussalam, Cambodia) for the period 2000 - 2017. This study uses panel data regression analysis with a fixed effect approach.               The method in this study uses quantitative research by conducting hypothesis testing. The data used are secondary data from ASEAN countries in 2007-2017 by looking at publications at the World Bank. This study uses panel data, where the panel data is a combination of cross section and time series data. The analytical tool used is panel data regression analysis using the Eviews9 program. Then the best panel data regression model is estimated.               From the stages of analysis carried out, the results of data analysis showed that the results of the panel data estimation selected the best model were Fixed Effext Model (FEM). Hypothesis testing of the results of the Trade Openness (TO) and Foreign Direct Investment (FDI) model have a positive and significant effect on ASEAN Economic Growth (G), while the government expenditure variable (GOV) has no significant positive effect. The inflation variable (INF) has no effect on economic growth.
ANALISIS KETERKAITAN INSTRUMEN KEBIJAKAN MONETER, DEFISIT ANGGARAN, DAN NERACA PEMBAYARAN INDONESIA TAHUN 2002 - 2017 Jeremy, Orlandio
JURNAL DINAMIKA EKONOMI PEMBANGUNAN Vol 2, No 2 (2019): Agustus
Publisher : Fakultas Ekonomika dan Bisnis, Universitas Diponegoro

Show Abstract | Download Original | Original Source | Check in Google Scholar | Full PDF (1302.998 KB) | DOI: 10.14710/jdep.2.2.36-57

Abstract

This study aims to analye the linkages of monetary policy instruments, budget deficit and balance of payments with VECM method. This study used secondary data from 2002 quarter I to 2017 quarter IV.            The result found one-way interaction between open market operation with Indonesian balance of payments. Money supply has two-way causality relationship with budget deficits and minimum reserve requirement. The exogenous variable which are BI rate and open market operation affected Indonesian’s balance of payments with  positive correlation, while the minimum reserve requierment significantly affect Indonesian’s balance of payments with negative correlation. Impulse response found shock of money supply respond to balance of payments positive in the fourth period.This result show that Indonesia’s balance of payments is a monetary phenomenon. So monetary policy instruments BI rate, minimum reserve requirement and open market operation can be used to maintain the stability of Indonesia’s balance of payment.

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