cover
Contact Name
Deni eko saputro
Contact Email
061002218@uii.ac.id
Phone
+62274-881546
Journal Mail Official
editor.jsb@uii.ac.id
Editorial Address
Management Development Centre (MDC) Faculty of Business & Economics, Universitas Islam Indonesia Condongcatur, Depok, Sleman, Yogyakarta
Location
Kab. sleman,
Daerah istimewa yogyakarta
INDONESIA
Jurnal Siasat Bisnis
ISSN : 08537666     EISSN : 25287001     DOI : https://doi.org/10.20885/jsb
Core Subject : Science, Social,
Jurnal Siasat Bisnis (JSB) is a peer review journal published twice a year (January and July) by Management Development Centre (MDC)-Department of Management, Faculty of Economics, Universitas Islam Indonesia. JSB) addresses the broad area of management science and its applications in industry and business. It is particularly receptive to research relevant to the practice of management within the emerging regions and its effects beyond. It covers studies on how management work is done (descriptive) and/or should be done (normative) in diverse organisational forms, either in profit or non-profit firms, private or public sector institutions, or formal or informal social networks. We welcome qualitative studies with high-quality, rigorous methods, and strong impact on the field. Topics covered include, but not strictly limited to: 1. Business and management strategy 2. Marketing management 3. Operations management 4. Computing and technology management 5. Finance and investment management 6. Innovation and knowledge-based management 7. Entrepreneurship 8. Organisational behaviour and people management 9. Corporate social responsibility 10. Islamic business and management
Articles 6 Documents
Search results for , issue "Vol. 11 No. 1 (2006)" : 6 Documents clear
Pengaruh Sikap dan Norma Subyektif terhadap Niat Beli Mahasiswa sebagai Konsumen Potensial Produk Pasta Gigi Close Up Murwanto Sigit
Jurnal Siasat Bisnis Vol. 11 No. 1 (2006)
Publisher : Management Development Centre (MDC) Department of Management, Faculty of Business and Economics Universitas Islam Indonesia

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Abstract

Penelitian ini bertujuan untuk menganalisis pengaruh secara langsung dari sikap konsumen dan norma subyektif terhadap niat untuk membeli produk pasta gigi Close Up. Hipotesis yang diajukan dalam peneli¬tian ini adalah a) diduga sikap konsumen dan norma subyektif konsumen secara bersama-sama berpengaruh terhadap niat beli, b) diduga sikap konsumen secara parsial berpengaruh terhadap niat beli, dan c) diduga norma subyektif konsumen secara parsial berpengaruh terhadap niat beli. Sampel ditentukan dengan metode convenience sampling dari populasi mahasiswa Universitas Islam Indonesia. Data primer dikumpulkan menggunakan kuesioner melalui survey. Sampel penelitian terdiri dari 100 mahasiswa Universitas Islam Indonesia yang belum pernah membeli produk pasta gigi Close Up. Analisis data dilakukan dengan menggunakan Regresi Linear Berganda.Hasil penelitian menunjukkan bahwa a) sikap dan norma subyektif secara bersama-sama (simultan) berpengaruh terhadap niat beli, b) sikap konsumen secara parsial berpengaruh terhadap niat beli, dan c) norma subyektif secara parsial berpengaruh terhadap niat beli.Kata kunci: sikap, norma subyektif, niat beli
An Investigation of Hayes and Wheelwright’s Practices: Empirical Evidence from The Indonesia’s Oil and Gas Industry Wakhid Slamet Ciptono
Jurnal Siasat Bisnis Vol. 11 No. 1 (2006)
Publisher : Management Development Centre (MDC) Department of Management, Faculty of Business and Economics Universitas Islam Indonesia

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Abstract

The research extracts sixty seven Hayes and Wheelwright’s practices from the Hayes and Wheel-wright’s six principles. These items formed the basis of a questionnaire sent to over 2800 managers at the SBUs level in the Indonesia’s oil and gas companies. The empirical result indicates that All Hayes and Wheelwright’s six principles collectively have positive impact on an overall construct that may be termed world-class company (WCC). Result also points out that Hayes and Wheelwright’s six principles can be reduced into four meaningful factors) of world-class company—as operations strategies—for the Indonesia’s oil and gas industry— Workforce skills and capabilities, Management technical competence, Competing through quality, and Workforce participation. These meaningful factors of WCC were shown to be reliable and valid, and offer new insights into the understanding of operations strategy implementation in an oil and gas industry.Based on the oil and gas managers (the SBU level), operations strategies (four meaningful factors of WCC) can be viewed as the effective use of production and operations capability and technology for achieving business and corporate goals. Operations strategy, therefore, is to help a company’s operations organization define the common ground where it can play a proactive and collaborative role with other company functions or cross-functional relationships (Hayes et al., 1996).  Oil and gas managers in Indonesia can use these meaningful factors in concert with other critical qual-ity management practices to help them in there word-class company initiatives. Researchers can also use these factors to build structural model linking such factors to various organizational performance measures (i.e., Critical Success Factors of TQM, Operational Excellence, Six Sigma Quality Management, and Good Corporate Governance).Keywords: Hayes and wheelwright’s six principles, Hayes and Wheelwright practices, World-Class Company.
Determinants of Sustainable Competitive Advantage Due To An It-Enabled Strategy Yuni Nustini
Jurnal Siasat Bisnis Vol. 11 No. 1 (2006)
Publisher : Management Development Centre (MDC) Department of Management, Faculty of Business and Economics Universitas Islam Indonesia

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Abstract

Teknologi informasi (TI) telah dinyatakan sebagai sumber kelangsungan daya saing yang dapat me¬ningkatkan kinerja dan posisi bersaing perusahaan. Namun, tersebar luas kepercayaan diantara komunitas manajemen perusahaan bahwa setiap kinerja perusahaan yang dihasilkan oleh teknologi informasi berumur pendek, karena kinerja tersebut mudah ditiru. Tujuan dari penelitian ini adalah untuk menentukan faktor-faktor strategi teknologi informasi yang dapat menghasilkan keunggulan daya saing perusahaan yang berkelanjutan.Penelitian ini menggunakan sampel dari 2 kelompok data. Kelompok pertama yaitu sampel perusaha¬an yang menggunakan strategi infomasi teknologi dalam mempertahankan keunggulan daya saing perusahaan, data dihimpun dari survei yang diadakan oleh majalah Warta Ekonomi terhadap praktek e-bisnis terbaik tahun 2002. Kelompok kedua yaitu sampel perusahaan yeng tidak menggunakan strategi teknologi informasi dalam mempertahankan keunggulan daya saing perusahaan, data dihimpun dari survei yang diadakan oleh majalah In¬vestor terhadap kinerja perusahaan terbaik tahun 2002. Pengujian hipotesis menggunakan t-statistik untuk meng¬uji mean dalam konsep matching dan regresi sensor untuk menguji probabilitas masing-masing variabel di dalam distribusi. Hasil dari penelitian ini menunjukan bahwa kemampuan manajemen perusahaan dalam memahami, mengembangkan dan mengolah informasi teknologi adalah berhubungan secara signifikan terhadap durasi dari keunggulan daya saing. Hal ini berarti perusahaan-perusahaan yang memiliki kemampuan manajemen per¬usahaan yang tinggi dalam memahami, mengembangkan, dan mengolah teknologi informasi akan memiliki keunggulan daya saing yang berkelanjutan lebih lama. Sebaliknya, kemampuan informasi teknologi secara teknis dan infrastruktur teknologi informasi adalah insignifikan secara statistic terhadap durasi dari keunggulan daya saing.Kata kunci: teknologi informasi, strategi TI, kelangsungan, keunggulan daya saing
VAR Portfolio Optimal: Perbandingan Antara Metode Markowitz dan Mean Absolute Deviation R. Agus Sartono; Arie Andika Setiawan
Jurnal Siasat Bisnis Vol. 11 No. 1 (2006)
Publisher : Management Development Centre (MDC) Department of Management, Faculty of Business and Economics Universitas Islam Indonesia

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Abstract

Portfolio selection method which have been introduced by Harry Markowitz (1952) used variance or deviation standard as a measure of risk. Kanno and Yamazaki (1991) introduced another method and used mean absolute deviation as a measure of risk instead of variance. The Value-at Risk (VaR) is a relatively new method to capitalized risk that been used by financial institutions. The aim of this research is compare between mean variance and mean absolute deviation of two portfolios. Next, we attempt to assess the VaR of two portfolios using delta normal method and historical simulation. We use the secondary data from the Jakarta Stock Exchange – LQ45 during 2003. We find that there is a weak-positive correlation between deviation standard and return in both portfolios. The VaR nolmal delta based on mean absolute deviation method eventually is higher than the VaR normal delta based on mean variance method. However, based on the historical simulation the VaR of two methods is statistically insignificant. Thus, the deviation standard is sufficient measures of portfolio risk.Keywords: optimalisasi portofolio, mean-variance, mean-absolute deviation, value-at-risk, metode delta normal, metode simulasi historis
Desain Premi dan Manfaat Asuransi Deposito Said Kelana Asnawi
Jurnal Siasat Bisnis Vol. 11 No. 1 (2006)
Publisher : Management Development Centre (MDC) Department of Management, Faculty of Business and Economics Universitas Islam Indonesia

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Abstract

Paper ini memuat desain penentuan premi asuransi deposito dengan mempertimbangkan pinalti bagi perilaku moral hazard dan memberikan sanggahan teoritis terhadap pendapat yang meragukan kebaikan asuransi deposito. Sanggahan ini didasarkan pada desain premi jika mempertimbangkan pinalti bagi perilaku moral hazard. Sanggahan ini merujuk pada manfaat asuransi berupa penurunan penarikan serta laba bank yang positip dan manfaat sosial yang diperoleh pemerintah. Key Word: asuransi deposito, incentive compatible plan, moral hazard, camel rating, Option Theory-Jump Process, Benefit Sosial Pemerintah
Pengukuran Tingkat Efisiensi Bank Syariah dan Bank Konvensional di Indonesia dengan Formula David Cole’s Roe For Bank Bachruddin Bachruddin
Jurnal Siasat Bisnis Vol. 11 No. 1 (2006)
Publisher : Management Development Centre (MDC) Department of Management, Faculty of Business and Economics Universitas Islam Indonesia

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Abstract

This research was aimed to analyze the difference in the rate of efficiency between the group of Syariah Bank with the group of conventional Banks in Indonesia during 2003 and 2004. To analyze the rate of efficiency indicated by the Rate of Return (ROE), the research uses three factors namely Profit Margin (PM), Asset Utilization (AU) and Equity Multiplier (EM). The research was based on secondary data consisted of finan¬cial reports collected from the said two group of banks, comprising 4 Syariah Bank and 4 Conventional Banks, for the period of 2003 and 2004.The tools of analysis used in the research consisted of two methods. The first was variance test analy¬sis for the average of ROE between the two groups of banks. The second was regression analysis applied for each group of banks. In this model, the factors i.e. PM, AU and EM were estimated to influence the ROE.The result of the research showed that the ROE of Syariah Bank was significantly difference with the ROE of Conventional Banks. In this result the standard deviation of ROE of Syariah Banks was smaller than con¬ventional banks. Further, the result indicated that PM, AU and EM of Syariah Bank were significantly influenced to ROE. Meanwhile, the three factors were not significantly influenced to ROE of Conventional Banks.In order to get the better result in the next research of this topic, the number of samples should be greater and it is suggested to apply the other method of analysis like discriminate analysis. Further, the period of empirical study should be longer at least five years.Keywords: rate of efficiency, profit margin, asset utilization, equity multiplier, bank syariah

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