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INDONESIA
Jurnal Ekonomi Pembangunan
ISSN : 16932595     EISSN : 25274023     DOI : -
Core Subject : Economy,
Jurnal ekonomi pembangunan published by Pusat Pengkajian Ekonomi dan Kebijakan Publik (PPEKP), Faculty of Economics and Business, University of Muhammadiyah Malang. This journal is used as a source of information about scientific works in the field of development economics for every academician, researcher, lecturer and activist and other authors.
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Articles 7 Documents
Search results for , issue "Vol. 13 No. 1 (2015): Jurnal Ekonomi Pembangunan" : 7 Documents clear
ANALISIS DISPARITAS PENDAPATAN ANTAR KABUPATEN/KOTA DI JAWA TIMUR TAHUN 2008-2013 Lailatul Khusna
Jurnal Ekonomi Pembangunan Vol. 13 No. 1 (2015): Jurnal Ekonomi Pembangunan
Publisher : Pusat Pengkajian Ekonomi dan Kebijakan Publik

Show Abstract | Download Original | Original Source | Check in Google Scholar | DOI: 10.22219/jep.v13i1.3689

Abstract

This goals  is finding out the level of income disparity among districts / cities in East Java, the determine the influence of the General Allocation Fund, Gross Domestic Product and educated workforce to income disparities among districts / cities in East Java and proving the hypothesis kuznets in EAST java.The analysis technique used is Entropy Theil, multiple linear regression by the method of Random Effects Model (REM) and trend analysis of the economic growth in East Java income disparity as proof Kuznets hypothesis. Research study shows that determinant coefficient (R2) is (0,974), means thet (97,4%), which is income disparities variabel influenced by independent variabel General Allocation Fund (DAU) (X1), Gross Regional Domestic Product (PDRB) (X2) and Educated Workforcelabour (TKTDD) (X3). The results showed the average income disparity districts / cities in East Java is high. 
ANALISIS TERHADAP DETERMINAN SPREAD SUKU BUNGA BANK UMUM DI INDONESIA PERIODE 2009-2013. Linda Ratna Sari
Jurnal Ekonomi Pembangunan Vol. 13 No. 1 (2015): Jurnal Ekonomi Pembangunan
Publisher : Pusat Pengkajian Ekonomi dan Kebijakan Publik

Show Abstract | Download Original | Original Source | Check in Google Scholar | DOI: 10.22219/jep.v13i1.3691

Abstract

This study was aimed to know the effect of dependent variable, spread of public bank rate in Indonesia period 2009-2013.Multiple linear regressions with model of least quadrat estimation were used as analysis tool. In the model equation, spread rate of interest (interest rates on loans and interest rates on savings) was a dependent variable, and then the independent variable was BI rate, ROA, NPL, and SIBOR.The result of this current study showed that BI rate and ROA had a negative effect and significant on spread rate of interest, whereas NPL and SIBOR had a positive effect and significant on spread rate of interest. Simultaneously, BI rate, ROA, NPL, SIBOR influence the spread rate of interest. Meanwhile, trial on classic assumption showed that all regressions had pulled through from classic assumption (autocorrelation, heterocedasticity, multicollinearity). Coefficient determination (R2) of regression interest rate spread was 0,708181 or 70.82%. it showed that independent variable consist of BI rate, ROA, NPL, and SIBOR clarified the changing of dependent variable interest rate spread as big as 70.82%, whereas the remaining 0.29% was clarified by other variable that is not included in estimation model.
ANALISA RISIKO DAN KEUNTUNGAN INVESTASI SAHAM BATU BARA DI BURSA EFEK INDONESIA (Tahun 2010-2014) Siti Nur Zahroh
Jurnal Ekonomi Pembangunan Vol. 13 No. 1 (2015): Jurnal Ekonomi Pembangunan
Publisher : Pusat Pengkajian Ekonomi dan Kebijakan Publik

Show Abstract | Download Original | Original Source | Check in Google Scholar | DOI: 10.22219/jep.v13i1.3692

Abstract

This research was motivated by the increasing value of the production and consumption of coal from year to year, but is not offset by an increase in new investment in this sector. Each selection of investment decisions certainly linked to the degree of risk and benefit ratio, in order to know how much future investment results that will be obtained with the level of risk to a minimum. The purpose of this study was to measure the level of risk and benefit ratio of shares in a coal mining company listed on the Stock Exchange during the study period 2010-2014. Calculation of the level of risk in this study was measured by VaR (Value at Risk) and the profit rate is measured with RAROC (Risk Adjusted Return on Capital). The results of this study indicate that the coal mining stocks are a potential value loss (high risk low return). The highest VaR value during the study period experienced by PKPK of 0.64300 or 64.30% in 2010. The market value of the highest RAROC during the observation period by ITMG in 2010 amounted to 0.4304 or 43%.
VALIDATING AND EXPANDING THE HAWTHORNE STUDIES: EVIDENCE FROM INDONESIAN PUBLIC EMPLOYEES I Gede Agus Ariutama
Jurnal Ekonomi Pembangunan Vol. 13 No. 1 (2015): Jurnal Ekonomi Pembangunan
Publisher : Pusat Pengkajian Ekonomi dan Kebijakan Publik

Show Abstract | Download Original | Original Source | Check in Google Scholar | DOI: 10.22219/jep.v13i1.3693

Abstract

Since Hawthorne study deconstructed Taylor’s time and motion studies, scholars of organization studies have shifted their attentions to human relations in the workplaces. The major implication is that employees’ relationship with supervisors as well as their peers, and their participation in decision-making process determine productivity. Although the Hawthorne experiments were conducted in the private sector, scholars of public administration believe that the implication from the experiment can be applied to the public sector as well. However, current discussion on the public-private distinction leads to an important research question: can lessons from the Hawthorne study apply to public organizations? The purpose of this study is to validate and expand the original Hawthorne studies and Jung and Lee (forthcoming) conducted in the public organizations by analyzing a large sample of Indonesian public officials. Findings suggest that physical conditions have no or weak impacts on self-assessed and client-evaluated work performance while human relations show positive effects. For the supervisor-assessed performance, participation and physical conditions are the significant predictors. This study gives a unique opportunity since this study investigates the Hawthorne effects in the Asian context for the first time.
Pengaruh Infrastruktur dan Keterkaitan Spasial Terhadap Konvergensi Beta di Indonesia Anisa Fahmi
Jurnal Ekonomi Pembangunan Vol. 13 No. 1 (2015): Jurnal Ekonomi Pembangunan
Publisher : Pusat Pengkajian Ekonomi dan Kebijakan Publik

Show Abstract | Download Original | Original Source | Check in Google Scholar | DOI: 10.22219/jep.v13i1.3694

Abstract

Motivated inter-regional disparities condition that occurs persistently, this thesis examines the Indonesian economy in the long run, whether it will tend to converge or diverge. This convergence is based on the Solow Neoclassical growth theory which assumes the existence of diminishing returns to capital so that when the developed countries reach steady state conditions, developing countries will continuous growth up to ‘catch-up‘ with developed countries. This thesis also focuses on the influence of spatial dependency and infrastructure since regional economics perspective, each region can not be treated as a stand-alone unit. Economical and political situation of a region will influence policy in that region which will also have an impact to the neighboring regions. The estimation results of  spatial cross-regressive model using fixed effect method consistently confirmed that the Indonesian economy in the long term will likely converge with a speed of 8.08 percent per year. Other finding is, road infrastructure has a positive effect on economic growth and investment  and road infrastructure are spatially showed a positive effect on economic growth. In other words, the investment and the infrastructure of a region not only affect the economic growth of that region but also to the economy of the contiguous region.
STRATEGI PERCEPATAN PENCAPAIAN TARGET MILLENIUM DEVELOPMET GOALS (MDGs) DI KOTA MALANG Ida Nuraini; Dwi Susilowati
Jurnal Ekonomi Pembangunan Vol. 13 No. 1 (2015): Jurnal Ekonomi Pembangunan
Publisher : Pusat Pengkajian Ekonomi dan Kebijakan Publik

Show Abstract | Download Original | Original Source | Check in Google Scholar | DOI: 10.22219/jep.v13i1.3695

Abstract

The purpose of this study is a map of the readiness of Malang in achieving the MDGs by 2015 and the right strategy based on SWOT analysis to accelerate the achievement of the target MDGs.Dari can be concluded that the MDG targets by 8 item in Malang in 2015 still can not be reached. The number of poor people was 43,400 people, the open unemployment of 5.19% (22.185%). The adult literacy rate of 4.57% or 34 717 persons. Percentage of the population 10 years and over who do not have a diploma of 21.21%, finished primary school / MI amounted to 23.77% and 18.17% of junior high school graduation. In the field of gender equality, the contribution of women in politics is still very low. In the health field there are still 245 the number of infant deaths and 10 cases of maternal mortality. People with HIV and March 2013 reached 2,134 and AIDS as many as 341 people with high risk factors through needle drugs and high risk in men (65%) at the age of 25-49 years. The field of environmental sustainability in some respects much decreased as the quality of drinking water, air quality and temperature.
ANALISIS DAMPAK PROGRAM PEMBERDAYAAN MASYARAKAT (COMMUNITY DEVELOPMENT) PT. SUMBAWA TIMUR MINING (STM) TERHADAP KEHIDUPAN SOSIAL–EKONOMI MASYARAKAT . Ramadhoan
Jurnal Ekonomi Pembangunan Vol. 13 No. 1 (2015): Jurnal Ekonomi Pembangunan
Publisher : Pusat Pengkajian Ekonomi dan Kebijakan Publik

Show Abstract | Download Original | Original Source | Check in Google Scholar | DOI: 10.22219/jep.v13i1.3696

Abstract

The purpose of this study was to analyze the impact of community empowerment programs conducted by PT. STM to the social and economic life of society, both directly and indirectly. The method used is a qualitative and quantitative data collection techniques using observation method, the method of documentation, interview and questionnaire. Technical analysis of the data used in the method of qualitative research is data reduction, data display and conclusion; Technical analysis of the data that is used mainly on quantitative methods are counting frequency. The results showed that in terms of direct benefits, the vast majority of corporate social responsibility is embodied in the form of community empowerment program very useful. However, if the terms of the indirect benefits of community empowerment programs implemented by the company is still less perceived benefits. This can be understood as the activities carried out by PT. East Sumbawa Mining (STM) are still at the exploratory stage and given the share of allocation of funds spent on community empowerment program is still relatively small compared to the total allocation of development funds in the District of Hu'u. Social impact is more felt by the people than the economic impact. It is due to that ComDev in economics is relatively small when compared to the social sector, both in terms of budget as well as routine and sustainability programs.

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