cover
Contact Name
-
Contact Email
-
Phone
-
Journal Mail Official
-
Editorial Address
-
Location
Kota malang,
Jawa timur
INDONESIA
JAM : Jurnal Aplikasi Manajemen
Published by Universitas Brawijaya
ISSN : 16935241     EISSN : 23026332     DOI : -
Core Subject : Science,
Jurnal Aplikasi Manajemen - Journal of Applied Management (JAM) publishes all forms of quantitative and qualitative research articles and other scientific studies related to the field of functional management (marketing, finance, human resources, and operations) as well as the applied management and a wide range of applications.
Arjuna Subject : -
Articles 18 Documents
Search results for , issue "Vol 13, No 4 (2015)" : 18 Documents clear
Pengembangan Konsep Bilateral Symmetry untuk Meningkatkan Kinerja Rantai Pasokan melalui Kualitas Sinergi pada Industri Komponen Otomotif di Indonesia Tri Purwani; Lutfi Nurcholis
Jurnal Aplikasi Manajemen Vol 13, No 4 (2015)
Publisher : Jurusan Manajemen Fakultas Ekonomi dan Bisnis Universitas Brawijaya

Show Abstract | Download Original | Original Source | Check in Google Scholar | Full PDF (380.066 KB)

Abstract

Abstract: The specific aims of this study are: (1) Conducting an empirical testing and analyzingthe effects of: (a) the similarity of standardization ability and transparency on thequality of synergy, (b) the quality of synergies to the supply chain performance, (2) Providingthe information to the automakers and automotive parts about the importance of thesimilarity of standardization ability and transparency in common in order to improve thesupply chain performance, (3) Providing a practical contribution to the managerial andacademic circles in analyzing the similarity of standardization ability and transparencythat could improve supply chain performance. The population of the study was the entireautomotive component industries in Indonesia, including 189 companies (Data GAIKINDO,AISI and GIAMM). This subject of the study consists of managers or staffs authorized by thedirectors. The sampling method uses purposive sampling. This study has a target 105 respondentsto comply with the AMOS program. The population target including automotive componentcompany located in Jakarta, Bekasi, Karawang, Bogor, Surabaya, and Semarang.Data were collected from the questionnaires in which processed through descriptive statistics,inferential statistics and testing SEM. This study generates a new concept of BilateralSymmetry that can be developed for further research.Keywords: ability, transparency, standardization, synergies, supply chain
Orientasi Pasar, Orientasi Kewirausahaan, Kapabilitas Pemasaran dan Kinerja Pemasaran Iha Haryani Hatta
Jurnal Aplikasi Manajemen Vol 13, No 4 (2015)
Publisher : Jurusan Manajemen Fakultas Ekonomi dan Bisnis Universitas Brawijaya

Show Abstract | Download Original | Original Source | Check in Google Scholar | Full PDF (442.289 KB)

Abstract

Abstract: Market Orientation, Entrepreneurship Orientation, Capability and MarketingPerformance. The aims of this study are to know the effect of market orientation and entrepreneurialorientation on the capabilities and marketing performance; and to know the effect ofmarketing capability on the marketing performance. This study uses 200 managers ofspecificcharacteristics of Indonesian restaurants in Jakarta as a simple random sampling. The dataanalysis was used structural equation modeling (SEM) and processed by employing lisrel8.5. This research concludes that although the market orientation and entrepreneurial orientationpositively affect the marketing capability, and marketing capability has a positiveeffect on the marketing performance, but the understanding of market orientation and entrepreneurialorientation does not directly affect marketing performance. Entrepreneurial orientationhas the most dominant influence path towards marketing capabilities and performancemarketing.Keywords: market orientation, entrepreneurship orientation, marketing capability, marketingperformance
Analysis of Raw Materials Bokar Procurement Planning to Produce Pallet at PT Perkebunan Nusantara V Bukit Selasih, Kabupaten Indragiri Hulu, Riau Rio Jones Martahan Marpaung
Jurnal Aplikasi Manajemen Vol 13, No 4 (2015)
Publisher : Jurusan Manajemen Fakultas Ekonomi dan Bisnis Universitas Brawijaya

Show Abstract | Download Original | Original Source | Check in Google Scholar | Full PDF (208.39 KB)

Abstract

Abstract: The aim of this study is to determine how much raw material requirements neededin the future, by using several methods of forecasting time series model (time series), whichwill be selected as the most effective method for forecasting the need for raw materials. Inaddition, this study also discusses the factors that influence the procurement of raw materialsto the PT. Perkebunan Nusantara V Bukit Selasih. The data were obtained by directobservation keperusahaan as the research object, there is, PT Perkebunan nusantara VBukit Selasih and interviews with the parties of the company, leaders, and some of theworkers.Based on the results of the research method of time series model (time series) wasperformed least squares trend and the moment trend. The prediction in using the forecastingleast squares trend results do not correspond to the reality. This is because the value of MADon the method of least squares trend is still too large when compared to the moment trendmethod.It was concluded that the right forecasting method to predict the need for bokar rawmaterials at. PT Perkebunan Nusantara V Bukit Selasih is least squares trend and momenttrend because based on the both calculation showed the same results of forecasting andvalues. However, in this study, in order to predict the raw materials in the year 2014–2020used forecast moment trend method.Keywords: planning, time series models (time series)
Kinerja LKMS Dalam Mendukung Kegiatan Ekonomi Rakyat Berbasis Pesantren (Studi Pondok Pesantren Darut Tauhid dan BMT Darut Tauhid) Anas Alhifni; Nurul Huda
Jurnal Aplikasi Manajemen Vol 13, No 4 (2015)
Publisher : Jurusan Manajemen Fakultas Ekonomi dan Bisnis Universitas Brawijaya

Show Abstract | Download Original | Original Source | Check in Google Scholar | Full PDF (277.81 KB)

Abstract

Abstrct: BMT Darut Tauhid Islamic microfinance institutions boarding based developmentis quitegood. Simultaneously, the economic activity in boarding schools Darut Tauhid isalso growing. The aim of this study is to look at the relationship between performance LKMSwith MSME economic activities in Darut Tauhid using LKMS products as linked variable.This study uses primary data, i.e. interviews with students using a questionnaire. The researchconducted on September 17th–26th 2014. The results of the data analysis using Structuralequation modelling (SEM) showed that LKMS performance is good enough in terms ofproducts and savings deposits, buthave not receiveda positive response to products relatedto finance. This is proved from the data analysis results statistically have significant relationshipbetween the variables of LKMS performance and products of LKMS, but the relationshipbetween the product of LKMS and MSME economic activities are not significant.Keywords: Islamic microfinance institution performance, Islamic microfinance institutionproducts, MSME Economic activity, BMT Darut Tauhid
Pengembangan Sumberdaya Manusia dalam Meningkatkan Kualitas Pelayanan dan Kepuasan Pelanggan (Studi pada Aparatur Pemerintah Provinsi Kalimantan Timur) Syachrumsyah Asri
Jurnal Aplikasi Manajemen Vol 13, No 4 (2015)
Publisher : Jurusan Manajemen Fakultas Ekonomi dan Bisnis Universitas Brawijaya

Show Abstract | Download Original | Original Source | Check in Google Scholar | Full PDF (103.515 KB)

Abstract

Abstract: The government human resources service quality needs improvement through,among others graded education, training and development according to the respectiveneeds. The increasing economic dynamics of the society requires high quality services forsocial satisfaction.It is hypothesized that: (1) Human resource development hasa positiveinfluence on service quality; (2) Human resource quality has a positive influence on servicequality; (3) Human resource quality has a positive influence on customers satisfaction; (4)Service quality has a positive influence on customers on satisfaction.Path analysis was usedfor hypotheses testing. Data were collected from KDPDPKT Samarinda branch and thesociety benefiting the services.The study result shows that all four hypotheses are confirmed.It is concluded that (1) HR development has an influence of 20,64% on HR quality; (2) HRquality has an influence of 25,56% on service quality; (3) HR quality has an influence of39,42% on customers satisfaction; and (4) Service quality has an influence of 64,00% oncustomers satisfaction. This implies that education, training and development influencegovernment HR quality which further influences the government institutions performanceswhich are realized through service quality to the society. The higher the service quality, thehigher the customers satisfaction.Keywords: HR development, service quality, customers satisfaction, public service
Variabel-Variabel yang Memengaruhi Rasio P/E dan Dampaknya terhadap Return Saham (Studi pada Perusahaan Manufaktur yang Terdaftar di Bursa Efek Indonesia) Echan Adam; . Djumahir; . Andarwati
Jurnal Aplikasi Manajemen Vol 13, No 4 (2015)
Publisher : Jurusan Manajemen Fakultas Ekonomi dan Bisnis Universitas Brawijaya

Show Abstract | Download Original | Original Source | Check in Google Scholar | Full PDF (274.09 KB)

Abstract

Abstract: This research is aimed to understand and to analyze the influence of firm size (size),DER (Debt to Equity Ratio), ROE (Return on Equity), DY (Dividend Yield), and TSB (InterestRate) on P/E Ratio (Price Earning Ratio), and also their influence on stock return. Samplingtechnique is census which results in 17 manufacture companies as the sample. Two-StageLeast Square is used to analyze data. Result of research has shown that: (1) Variables of Sizeand ROE are positively and significantly influencing P/E Ratio. Variables of DER and TSBare negatively but significantly influencing P/E Ratio; and DY is not significantly influencingP/E Ratio. (2) P/E Ratio is negatively and significantly influencing stock return. Anychanges happening with fundamental variables of finance and macroeconomic will increaseP/E Ratio in the next period, but the increase of P/E Ratio will force stock return in the nextperiod to decline.Keywords: firm size, debt to equity ratio, return on equity, interest rates, P/E ratio, stockreturn
Determinan Non Performing Loan (NPL) pada Industri Perbankan (Bukti Empiris Perusahaan Go Publik di Bursa Efek Indonesia) . Kamaludin; . Darmansyah; Berto Usman
Jurnal Aplikasi Manajemen Vol 13, No 4 (2015)
Publisher : Jurusan Manajemen Fakultas Ekonomi dan Bisnis Universitas Brawijaya

Show Abstract | Download Original | Original Source | Check in Google Scholar | Full PDF (108.617 KB)

Abstract

Abstract: This study aims to identify the determinant factors of Non Performing Loan (NPL)in Indonesian banking sector. Data were collected from 16 banks by observation during theyear 2002 to 2011. From the data found that there were six variables which closely associatedto the variation of NPL for the subsequent observation period. In addition, the sampleswere taken from public listed company in Indonesia stock exchange, in which the particulardata were imported from Indonesian Capital Market Directory (ICMD CD-ROM). The furtheranalysis was conducted by employing Pooled EGLS (Cross-section random effects). Ourresults reflected that NPL was obviously driven by the volatility and fluctuation of micro andmacroeconomic factors. The factors comprise of loan to deposit ratio (LDR), capital adequacyratio (CAR), net interest margin (NIM), inflation (INF), interest rate (IR), and exchangerate (ER) consecutively contributed to the variation of non performing loan (NPL)in Indonesian banking sector.Keywords: NPL, CAR, LDR, NIM, INF, IR, ER
Pengukuran Jatidiri dan Daya Saing Koperasi dengan Pendekatan Development Ladder Assesment (DLA) Studi pada KUD Subur, KPRI Universitas Brawijaya, dan KWSU BAM di Kota Malang Agus Tri Darmawanto; . Maryunani; Iswan Noor
Jurnal Aplikasi Manajemen Vol 13, No 4 (2015)
Publisher : Jurusan Manajemen Fakultas Ekonomi dan Bisnis Universitas Brawijaya

Show Abstract | Download Original | Original Source | Check in Google Scholar | Full PDF (138.696 KB)

Abstract

Abstract: The aim of this study is to analyze theoretically that the Development LadderAssesment DLA variables in which could be a measurement tool for the identity and competitivenessof a cooperation. The concept of DLA in this study is applied in order to categorizethe cooperation in which has the identity between KUD Subur, KPRI Brawijaya Universityand KWSU BAM. The object of the study is Koperasi Unit Desa (KUD), KPRI BrawijayaUniversity and KWSU BAM in Malang. The subjects of this study are the senior members ofmanagement, leader, and members, or at least two members. Data collection was performedby interviewing in a group discussion using a questionnaire. The analysis method uses DLAapproach with variable vision, capacity,resources, and network, as well as DLA approachwith Daniel Cote models and ICA ROAP Grid Model. From the finding, it is found that KUDSubur is on the yellow zone means KUD Subur in performance is generally satisfactory, butit needs indicators in order to improve the organization management. KPRI Brawijaya Universityand KWSU BAM is at the green zone, it means KPRI Brawijaya University and KWSUBAM performance has been good in terms of vision, capacity, and network resources. Danielcote model analysis, KUD Subur, KPRI Brawijaya University and KWSU BAM in general arein quadrant I. KWSU BAM has a very good performance in applying the identity of cooperativesand doing well in the competition.Keywords: vision, capacity, resources, and network, DLA,Daniel Cote and ICA ROAP gridmodel
Pengaruh Sikap, Norma Subyektif, Kontrol Keperilakuan dan Kepercayaan Nasabah terhadap Niat Membeli Kembali Polis Asuransi Kerugian (Studi pada PT Asuransi Jasa Indonesia (Persero) Cabang Surabaya Korporasi) Eka Chandradi Yudha; Fatchur Rohman; . Sumiati
Jurnal Aplikasi Manajemen Vol 13, No 4 (2015)
Publisher : Jurusan Manajemen Fakultas Ekonomi dan Bisnis Universitas Brawijaya

Show Abstract | Download Original | Original Source | Check in Google Scholar | Full PDF (91.933 KB)

Abstract

Abstract: This study aims to determine whether attitude, subjective norm, behavioral control,and trust affect the intention to repurchase in general insurance policy. This researchwas conducted at PT Asuransi Jasa Indonesia (Persero) Surabaya Corporation Branch.This study was collected the data by using purposive sampling technique with certain conditions.This study uses multiple regression linear analysis. The findings of this study indicatethat attitudes, subjective norms, behavioral control and trust affect the intention torepurchase in general insurance policy. Trust is the most dominant variable in influencingintention to repurchase general insurance policy. The results of this research prove that trustis a key variable that can form intends customer confidence to repurchase.Keywords: attitude, subjective norm, behavioral control, trust, intention to repurchase, general insurance
Optimalisasi Kinerja Portofolio Investasi (Studi Kasus pada Dana Pensiun Pertamina) Hery Setiawan; Hermanto Siregar; Lukytawati Anggraeni
Jurnal Aplikasi Manajemen Vol 13, No 4 (2015)
Publisher : Jurusan Manajemen Fakultas Ekonomi dan Bisnis Universitas Brawijaya

Show Abstract | Download Original | Original Source | Check in Google Scholar | Full PDF (165.151 KB)

Abstract

Abstract: This study aims to analyze the performance of portfolio investment and to analyzethe composition of portfolio investment that could give optimum result. Based on the analysis,the average returns of portfolio always exceed the annual investment’s target. The calculationof portfolio optimization is using two assumptions, there are minimizing the portfoliorisk and maximizing portfolio average return. The prior average return before the portfoliooptimization is 11.85% with a risk 1.18%. The portfolio optimization result using the assumptionsof risk minimizing obtained average return reach 9.61% with a risk of 0.68% andaverage return reach 11.85% with a risk of 0.68%. Meanwhile, the result of portfolio optimizationusing the assumption of return maximizing obtained average return reach 13.00%with a risk of 1.47% and average return reach 12.59% with a risk of 1.18%.Keywords: retired fund, the performance of portfolio optimization, return, risk

Page 1 of 2 | Total Record : 18