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Contact Name
Moh Shidqon
Contact Email
ajid.shidqon@trisakti.ac.id
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+6281574360223
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abdikaryasakti@trisakti.ac.id
Editorial Address
Lembaga Penerbit Fakultas Ekonomi dan Bisnis Universitas Trisakti Jl. Kyai Tapa No.1, RT.6/RW.16, Tomang, Kec. Grogol petamburan, Kota Jakarta Barat, Daerah Khusus Ibukota Jakarta 11440
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Kota adm. jakarta barat,
Dki jakarta
INDONESIA
Jurnal Ekonomi Trisakti
Published by Universitas Trisakti
ISSN : -     EISSN : 23390840     DOI : https://doi.org/10.25105/jet
Core Subject : Economy,
Jurnal Ekonomi Trisakti (JET) has been published by Lembaga Penerbit Fakultas EKonomi dan Bisnis (LPFEB). JET is a journal for publication of undergraduate (S1) and Applied (D4) students, students of the Faculty of Economics and Business (FEB) as well as students outside of FEB and General Affairs. The frequency of JET publications is twice a year, in April and October.
Articles 26 Documents
PENGARUH VOLATILITAS NILAI TUKAR RUPIAH TERHADAP NILAI TUKAR RUPIAH : APLIKASI MODEL ARCH/GARCH Theressia Mellyastannia; Syafri Syafri
Jurnal Ekonomi Trisakti Vol. 1 No. 1 (2014)
Publisher : Lembaga Penerbit Fakultas EKonomi dan Bisnis 

Show Abstract | Download Original | Original Source | Check in Google Scholar | Full PDF (9467.716 KB) | DOI: 10.25105/jet.v1i1.13482

Abstract

The purpose of this study was to determine the effect of volatility in the rupiah /U.S. $ against the rupiah / U.S. $. Analysis model used in this study is a model of ARCH /GARCH. Control variables are included in the data processing is a variable rate 12-month deposit rate and the current account. The period of data used are monthly data from years 2001 to 2012. From the results of the model estimates the chosen ARCH 2 as the best model to estimate the volatility of the exchange rate. The estimation results indicate that exchange rate volatility and a significant positive effect on the exchange rate. Meanwhile, the interest rate on 12-month deposits and current account negatively affect the exchange rate significantly.
ANALISIS PENGARUH KAUSALITAS ANTARA EKSPOR, IMPOR DAN PERTUMBUHAN EKONOMI DI INDONESIA DAN THAILAND DENGAN MENGGUNAKAN PENDEKATAN VAR PERIODE 1980-2013 Moch Ilham; Agustina Suparyati
Jurnal Ekonomi Trisakti Vol. 1 No. 1 (2014)
Publisher : Lembaga Penerbit Fakultas EKonomi dan Bisnis 

Show Abstract | Download Original | Original Source | Check in Google Scholar | Full PDF (7108.531 KB) | DOI: 10.25105/jet.v1i1.13483

Abstract

This study aimed to examine the effect of causality between exports, imports and GDPdi Indonesia and Thailand and analyze models for both countries. There is no independent and dependent variables in this study. The sample used in this study is the variable export, import and GDP of Indonesia and Thailand with purposive sampling method. This research use analysis method Vector Auto Regression (VAR) with the aid of Eviews 8.0. Results from this study showed that the variables export, import and GDP each have a causal relationship between the three. Based on the test results VAR, according to the value of the lowest Akaike Indonesia is a model for the state GDP = f (Export, Import), while for Thailand the country is a model Import = f (GDP, exports).
PERANAN SEKTOR INDUSTRI TEKSTIL DAN PRODUK TEKSTIL (TPT)TERHADAP PEREKONOMIANINDONESIA: ANALISIS INPUT-OUTPUT Taris Fajri; Hermin Triyowati
Jurnal Ekonomi Trisakti Vol. 1 No. 1 (2014)
Publisher : Lembaga Penerbit Fakultas EKonomi dan Bisnis 

Show Abstract | Download Original | Original Source | Check in Google Scholar | Full PDF (10119.269 KB) | DOI: 10.25105/jet.v1i1.13484

Abstract

This study aims to determine how well the number of direct and indirect linkages, index of power deployment and index of the degree of sensitivity as well as the multiplier output, income, and labor sectors of textiles and textile products within the scope of the Indonesian economy in 2005. To get the purpose of the study analysis, this research is done by analyzing the data on Indonesian Input-Output Table 175 sectors in 2005. Analyzed data from the Input-Output Table is a data transaction on the basis of domestic producer prices. These sectors are aggregated into 68 sectors. This is done to see the impact of deployment and linkage textiles and textile products to other sectors of the economy.  In the analysis of data, fiber and yarn spinning industry has backward linkages value is smaller than the linkages in the future. Textile industry (fabric), the apparel industry (garment), and the other has a value of industrial textiles backward linkages greater than the relationship in the future. In the analysis of the spread of the power index, industrial fiber and yarn spinning, textile (cloth), industry apparel (garment), and the textile industry was able to increase the upstream sector growth or increase the output of other sectors that are used as inputs by industry sector itself because it has the power dispersion index value greater than one. Power dispersion index greater than one means that the sector is able to enhance the growth of the upstream sector. Analysis of the degree of sensitivity index, industrial textile (cloth), the apparel industry and textile industry can’t afford to encourage the production of the downstream sector which uses the input from the industrial sector as it has a degree of sensitivity index values ​​less than one. In the multiplier analysis, for the analysis of output multipliers, the apparel industry has the largest output multiplier of the other sub-sectors is equal to 2.4647. For household income multiplier, fiber and spinning sector has multiplier largest household income from other sub-sectors is equal to 0.1644. In the employment multiplier, fiber and spinning sector had the largest employment multiplier of other sub-sectors is equal to 0.0214.  From the analysis of the data, it can be concluded that the textile and clothing sector is the sector that Indonesia was in a position downstream of where the sector is a sector that produces an output that is directly consumed by final consumers. If the Government can properly optimize the sector, then the sector of textiles and textile products may act as a puller outputs of upstream sectors
ANALISIS MEKANISME TRANSMISI KEBIJAKAN MONETER JALUR NILAI TUKAR DENGAN PENDEKATAN VECM PERIODE 2005:1-2012:12 Nurobi Goldiman Wardianda; Dian Octaviani R
Jurnal Ekonomi Trisakti Vol. 1 No. 1 (2014)
Publisher : Lembaga Penerbit Fakultas EKonomi dan Bisnis 

Show Abstract | Download Original | Original Source | Check in Google Scholar | Full PDF (6533.181 KB) | DOI: 10.25105/jet.v1i1.13485

Abstract

This thesis discusses about analysis of transmission mechanism of monetary policy through exchange rate channel in Indonesia, during the period 2005:1 - 2012:12. By using variables such as PUAB Interest Rate, Exchange Rate, Total Export, National Income and Price lndex. The method's try to used in this thesis is a method of Vector Error Correction Models (VECM). This research aims to know the effectiveness of transmission mechanism of monetary policy through exchange rate channel within respect to see the influence of the operational targets (PUAB Interest Rate) to the intermediary target (Exchange Rate), as well as the final goals of monetary target (national income and price level). The results of this research show the transmission mechanism of monetary policy through exchange rate channel path deserves to be researched further, it is based on the significant value of the t-test, f-test, and Adj R2. Meanwhile, the results of the analysis of the "Impulse Response" found that the influence of shock caused by PUAB Interest Rate will cause the depreciation of Exchange Rate and also increasing of total export, we can visible to see the direct mechanism from Interest Rate to Exchange Rate (monetary sector) and after that transmitted to the real sector through the Total Export. As seen from the analysis of Variance Decomposition can be stated that during the period 2005:1-2012:12, the National Income variance contribution donated by Total Export and Exchange Rate, While Price Level variance contribution rate donated by Exchange Rate and PUAB Interest Rate
ANALISIS EFEKTIVITAS JALUR PEMBIAYAAN SYARIAH TERHADAP PRODUK DOMESTIK BRUTO USAHA MIKRO KECIL DAN MENENGAH DI INDONESIA DENGAN METODE VAR Fajar Noverianto; Nirdukita Ratnawati
Jurnal Ekonomi Trisakti Vol. 1 No. 1 (2014)
Publisher : Lembaga Penerbit Fakultas EKonomi dan Bisnis 

Show Abstract | Download Original | Original Source | Check in Google Scholar | Full PDF (9479.773 KB) | DOI: 10.25105/jet.v1i1.13486

Abstract

This study aimstoseehow the financing linesofIslamic bankingtowards Gross Domestic Productof SMEs (Small and Medium Enterprises)inIndonesia. To getthe purposeofthis study, the analysis toolusedis aVectorAutoRegression(VAR). Some of thevariables usedin this researcharePDBSMEs, SBIS, profit and loss sharing, andFinance(FINC) the period 2009:1to 2013:12. The results ofthe analysisofthis study showedthat theGDPof SMEsrespondsis relativelyquickly, in the 5th periodon the development ofIslamic banking industry. In terms ofdonationsandthe influence ofseveralvariablesthatdeterminants ofGDPSMEsare SBIS, profit and loss sharing, however Islamic financevariablewith a value of24.11% VDis the largest contributortothe GDPof SMEs.
PENGARUH PEMBIAYAAN, DANA PIHAK KETIGA DAN NON PERFORMING FINANCING TERHADAP RETURN ON ASSETS PERBANKAN SYARIAH DI INDONESIA 2009-2013: PENERAPAN MODEL SIMULTAN Atika Ranianti; Nirdukita Ratnawati
Jurnal Ekonomi Trisakti Vol. 1 No. 2 (2014)
Publisher : Lembaga Penerbit Fakultas EKonomi dan Bisnis 

Show Abstract | Download Original | Original Source | Check in Google Scholar | Full PDF (233.017 KB) | DOI: 10.25105/jet.v1i2.13489

Abstract

Sharia banking has been developed in Indonesia since 1991. Sharia banks have the same function as conventional banks, as intermediate financial institutions. They collects money from the society and then distribute the money by providing loans to get profits. However, the loans are not always current but sometimes they are sub standard, doubtful or even loss. This research is aimed to see the corelation among third party funds, distributed loans, Non performing loans and profitability of a sharia bank in Indonesia through its Return on Assets as the proxy. From the statistical data of the period 20091 - 2013.3 which is analyzed by a simultaneous-equation model, it is found that the third-party fund, Non Performing Funds and Return on Assets are correlated.
ANALISIS FAKTOR PENENTU PERTUMBUHAN EKONOMI DI TUJUH NEGARA ASEAN PERIODE TAHUN 1996-2013 Desyana Eka Pramasty; Lydia Rosintan S
Jurnal Ekonomi Trisakti Vol. 1 No. 2 (2014)
Publisher : Lembaga Penerbit Fakultas EKonomi dan Bisnis 

Show Abstract | Download Original | Original Source | Check in Google Scholar | Full PDF (292.822 KB) | DOI: 10.25105/jet.v1i2.13490

Abstract

Economic growth is also one of the most important indicator in determining the standard of living of people in a country, because of an increase in the production capacity of an economy that is manifested in the form of national income. Economic growth is an indication of the success of economic development, measured by comparing, for example, for domestic size, Gross Domestic Product (GDP) in the current year with the previous year. This study aimed to analyze the factors that affect economic growth in seven ASEAN countries period from 1996-2013. This study use panel data analysis. The factors that affect economic growth in seven ASEAN countries, namely foreign debt, foreign direct investment, and the rate of inflation. Based on panel data analysis of the results showed that the foreign debt has negative effect and significant on economic growth, foreign direct investment has positive effect and significant on economic growth and inflation rate has negative effect and significant on economic growth in seven ASEAN countries period from 1996-2013.
ANALISIS KOMPARASIDAN DAYA SAING EKSPOR KOPI ANTAR NEGARA ASEAN DALAM PERDAGANGANBEBASASEAN TAHUN 2002-2012 Gusti Ayu Made Dian Rianita
Jurnal Ekonomi Trisakti Vol. 1 No. 2 (2014)
Publisher : Lembaga Penerbit Fakultas EKonomi dan Bisnis 

Show Abstract | Download Original | Original Source | Check in Google Scholar | Full PDF (330.668 KB) | DOI: 10.25105/jet.v1i2.13491

Abstract

This study aims to analyze the comparative and coffee export competitiveness among Asean countries in the ASEAN free trade in the year 2002-2012. In addition, to compare studies using the Revealed Comparative Advantage (RCA) and Panel Data . The factors used to see coffee exports include coffee prices ASEAN countries of origin, countries of origin of coffee production, exchange rate, acreage planted coffee origin countries, GDP per capita in the world. The results showed only country RCA Indonesia and Vietnam who have strong competitiveness on the export of coffee ( RCA > 1 ), Thailand and Phillipina has particularly RCA < 1 so it does not have a strong competitive edge. Test results of panel data shows the export of coffee in four ASEAN countries (Indonesia, Thailand, Vietnam, and the Philippines) are significantly influenced by the total production of coffee, coffee prices, and the GDP per capita in the world. These results using the alpha of ten percent. And in between all independent variables are used, the exchange rate and the planting area that does not have a statistically significant effect on the export of coffee in four ASEAN (Indonesia, Thailand, Vietnam, and Phillipina.
PENGARUH KEBIJAKAN MAKROEKONOMI DAN KUALITAS KELEMBAGAAN TERHADAP FOREIGN DIRECT INVESTMENT DI ASEAN-6–ANALISIS PANEL DATA Puspa Febrina; Sumiyarti Sumiyarti
Jurnal Ekonomi Trisakti Vol. 1 No. 2 (2014)
Publisher : Lembaga Penerbit Fakultas EKonomi dan Bisnis 

Show Abstract | Download Original | Original Source | Check in Google Scholar | Full PDF (328.029 KB) | DOI: 10.25105/jet.v1i2.13492

Abstract

Arus Foreign Direct Investment(FDI) adalah salah satu yang terpenting dalam globalisasi. Penanaman modal asing ke dalam negeri mendapat perhatian yang luar biasa karena dengan adanya FDI dapat memperluas produksi dan meningkatkan kinerja pasar keuangan. Dalam iklim globalisasi yang seperti sekarang ini, FDI menjadi salah satu alat bagi negara yang sedang berkembang untuk dapat meningkatkan perekonomian negara mereka. Penelitian ini bertujuan untuk menganalisis faktor-faktor yang mempengaruhi masuknya FDI ke beberapa negara ASEAN, yaitu Indonesia, Singapura, Malaysia, Thailand, Philiphina, dan Vietnam tahun 2000-2012. Penelitian ini menggunakan meode analisis data panel untuk menentukan faktor-faktor yang mempengaruhi masuknya FDI di ASEAN-6. Adapun faktor-faktor yang mempengaruhi masuknya FDIadalah Gross Domestic Product (GDP), Indeks kebijakan makroekonomi, indeks kualitas kelembagaan, dan rasio angkatan kerja. Berdasarkan analisis hasil data panel menunjukkan GDP, indeks kebijakan makroekonomi, dan indeks kualitas kelembagaan berpengaruh positif dan signifkan terhadap masuknya FDI di ASEAN-6.
THE INFLUENCE OF DIVERSITY ORIENTED LEADERSHIP TOWARDS KNOWLEDGE SHARING THROUGH TRANSPARENT INTERNAL COMMUNICATION, INTRINSIC NEEDS SATISFACTION, AND JOB ENGAGEMENT Ellyana Angawati; Kurniawati Kurniawati
Jurnal Ekonomi Trisakti Vol. 2 No. 1 (2022): April
Publisher : Lembaga Penerbit Fakultas EKonomi dan Bisnis 

Show Abstract | Download Original | Original Source | Check in Google Scholar | Full PDF (377.608 KB) | DOI: 10.25105/jet.v2i1.13551

Abstract

There are many ways for companies to retain employees. The approach simply proposed that companies would benefit from employees that are loyal in order to create knowledge sharing throughout the company, which are important and necessary in achieving the goal and mission of the company. Communication styles, leadership methods, including the employees’ necessity as one of the parameters for the employees to continue to share their knowledge within the company. This research aims to maximize the company and the employee mutualistic relationships which requires both understanding. Exploration and approach between company with employees in many aspects such as managerial level, openness, boundness, and the employee’s demand are also measured and comprised. The literature review argue that these are the ways to improve trust, experience, satisfaction and commitment, so that there are tight relationships with each other especially in crises situation. This research uses purposive sampling with age ranging from 23 years old until 70 years old with associate degree to doctoral degree in many types of industry, variant income, managerial level, and duration of work at the company. This research is suitable for someone who is a decision maker in the company to improve the company. The data uses SPSS 25 and AMOS 21 methods for analyzing. Majority of the variables shows that the variables are positive related. Therefore, this research could use for companies’ improvement towards employee’s retentions. In addition, acknowledgement from employees would lead to employee’s knowledge sharing.

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