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Jurnal Aplikasi Bisnis dan Manajemen (JABM) E-Journal
ISSN : 25285149     EISSN : 24607819     DOI : -
Core Subject : Science,
Journal of Business and Management Application (JABM) published articles in the field of business and management applications such as business strategy management, financial management, human resources and organization, business value chain and other issues in the field of business and management. This scientific journal is published by School of Business, Bogor Agricultural University (SB-IPB) associated with Indonesian Alliance of Magister Management Program (APMMI). JABM began the publication in August 2015 with a frequency of three times a year. Starting in 2016, JABM will be published in January, May and September.
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Articles 20 Documents
Search results for , issue "Vol. 6 No. 2 (2020): JABM Vol. 6 No. 2, Mei 2020" : 20 Documents clear
Pengaruh Kepercayaan Kepada Atasan, Job Embeddedness, dan Kepuasan Kerja Terhadap Kepercayaan Karyawan Kepada Organisasi: The Influence of Trust In Leader, Job Embeddedness, and Job Satisfaction on Organizational Trust Mauli Melda Manihuruk; Tjiptogoro Dinarjo Soehari
Jurnal Aplikasi Bisnis dan Manajemen (JABM) Vol. 6 No. 2 (2020): JABM Vol. 6 No. 2, Mei 2020
Publisher : School of Business, Bogor Agricultural University (SB-IPB)

Show Abstract | Download Original | Original Source | Check in Google Scholar | DOI: 10.17358/jabm.6.2.335

Abstract

This study analyzes the effect of trust in superiors, work attachment and job satisfaction on employee confidence in the organization. This type of research is quantitative. The population is all employees. The sampling technique using non probability sampling method with the type used is purposive sampling (using the Slovin formula with an error of 5% obtained a sample of sixty seven employees). The method used in this study is multiple linear regression using data processing software tools SPSS version 24.0. The results showed that trust in superiors, work attachment and job satisfaction together (simultaneously) significantly influence employee confidence in the organization. Partially job attachment and job satisfaction have a significant positive effect on employee trust in the organization while trust in superiors has a significant negative effect on employee trust in the organization. Job satisfaction is the most influential variable on employee trust in the organization after the variable work attachment and trust in superiors. The suggestion for the company is that the company should further increase work attachment and employee job satisfaction to obtain high employee trust. Keywords: job embeddedness, trust in leader, job satisfaction, organizational trust
The Effect of Brand Thrust on Financial Performance of Property Companies in Indonesia Capital Market Njo Anastasia; Dewi Pricilia Sari
Jurnal Aplikasi Bisnis dan Manajemen (JABM) Vol. 6 No. 2 (2020): JABM Vol. 6 No. 2, Mei 2020
Publisher : School of Business, Bogor Agricultural University (SB-IPB)

Show Abstract | Download Original | Original Source | Check in Google Scholar | DOI: 10.17358/jabm.6.2.429

Abstract

The rapid economic growth and development encourage companies to have sustainable competitive advantage in order to compete in the market. One of the strategies to face this competition is building a good brand image. Brand has always been an important factor in company’s growth. The concept of brand thrust was used to show the level of company allocation to enhance their brand image. This study aims to examine the effect of brand thrust on financial performance of property companies in Indonesia capital market for the period 2009-2016. The independent variables used are brand thrust and firm characteristics. The dependent variable used is financial performance. The method used is panel data Ordinary Least Square (OLS) regression with the number of sample are 28 firms of property sector. This study reveals brand thrust, long term debt to assets ratio, stock market beta, market share, operating profit margins, and capital expenditure to property, plant, and equipment have a significant influence on financial performance of property companies. Keywords: brand thrust, firm characteristics, financial performance, property sector, OLS
Strategi Pengembangan Bisnis PT. Adhi Persada Properti: Business Development Strategy of PT. Adhi Persada Properti Muhammad Irdy Eka Mahendra; Mukhamad Najib; Kirbrandoko Kirbrandoko
Jurnal Aplikasi Bisnis dan Manajemen (JABM) Vol. 6 No. 2 (2020): JABM Vol. 6 No. 2, Mei 2020
Publisher : School of Business, Bogor Agricultural University (SB-IPB)

Show Abstract | Download Original | Original Source | Check in Google Scholar | DOI: 10.17358/jabm.6.2.281

Abstract

The property industry is a highly developed industry in Indonesia. Several factors such as infrastructure development (toll roads, railroads, public transportation, etc.), the need for shelter, increasing population, etc. PT. Adhi Persada Properti (APP) is a subsidiary of PT. Adhi Karya (Adhi) which delayed the purchase of property in the industry (apartments, housing, etc.). The objectives of this study are internal, external, key success factors in the property industry and the Business Model Canvas to identify business models with the results of long-term and short-term strategies for APP to improve competitiveness in the property industry. Data analysis methods and methods used are PEST Analysis, Focus Group Discussions, and Business Model Canvas. The results show that APP's main threat as an apartment and housing developer is in terms of regulations. Opportunities that can be utilized by APP through external analysis are the level of public purchasing power, economic growth and advancement in information technology. The level of purchasing power and economic growth is more influential on the sale of APP products. The BMC results of identification of each section in APP can be clearly mapped, which parts should be developed and which are maintained as they are at present. Keywords: property, external and internal issue, business model canvas, strategic planning
Partner Innovation Collaboration and Management Support Toward Innovation Speed and New Product Performance in Small Manufacturing Firms Fansuri Munawar; Didi Tarmidi
Jurnal Aplikasi Bisnis dan Manajemen (JABM) Vol. 6 No. 2 (2020): JABM Vol. 6 No. 2, Mei 2020
Publisher : School of Business, Bogor Agricultural University (SB-IPB)

Show Abstract | Download Original | Original Source | Check in Google Scholar | DOI: 10.17358/jabm.6.2.437

Abstract

The purpose of this study was to examine and analyze the role of partner innovation collaboration and management support on innovation speed, and its implications towards new product performance in small manufacturing firms. This study took samples in the category of small manufacturing firms in the food & beverage sector, shoes & bags sector, craft sector, and diverse sector. Then, this study uses primary data using a questionnaire distributed to 95 owners or managers of small manufacturing firms in the Bandung and surrounding areas. Data analysis uses structural equation modeling based on partial least square with the help of SmartPLS 3.0. The results showed that partner innovation collaboration had a positive and significant effect on innovation speed, then management support had a positive and significant effect on innovation speed, then innovation speed had a positive and significant effect on new product performance, most recently the role of partner innovation collaboration also had a positive effect and significant to new product performance. The R-Square calculation results show that partner innovation collaboration and management support influence 0.432 on innovation speed, then partner innovation collaboration and innovation speed have an effect of 0.637 on new product performance. This study implied that small manufacturing firms to utilize an innovation collaboration with partners and allocate more time, effort, thought, costs in the effort to innovation, and be able to create an atmosphere of work together with employees that support innovation activities. Further research is to include moderation variables that support the improvement of new product performance such as absorptive capacity and technological uncertainty. Keywords: management support, partner innovation collaboration, innovation speed, new product performance
Pengaruh Allocentris dan Animosity Terhadap Niat Beli Konsumen Pada Produk Makanan Lokal dengan Ethnocentrism Sebagai Intervening Variabel: The Effect of Allocentrism and Animosity on Consumer Purchase Intention Towards Local Foods Products with Ethnocentrism as Intervening Variable Sulis Riptiono
Jurnal Aplikasi Bisnis dan Manajemen (JABM) Vol. 6 No. 2 (2020): JABM Vol. 6 No. 2, Mei 2020
Publisher : School of Business, Bogor Agricultural University (SB-IPB)

Show Abstract | Download Original | Original Source | Check in Google Scholar | DOI: 10.17358/jabm.6.2.379

Abstract

The purpose of this study was to investigate the effects of consumer allocentrism towards family, allocentrism towards friends and consumer animosity toward consumer intention to purchase halal products with consumer ethnocentrism as intervening variable. Primary data were collected from 100 students in Kebumen using closed questions with questionnaires. Data were analyzed with spss for windows version 24.0. Path-analyzes was used to test relationship between variables. Based on the results, the study showed that from seven hypothesis proposed, six hypothesis are accepted and only one hypothesis is rejected. The results showed that consumer purchase intentions on local food products are influenced by variable allocentrism to family, allocentrism toward friends, and customer ethnocentrism, while animosity does not have a significant influence toward consumers purchase intention on local food products. Keywords: allocentrism, animosity, ethnocentrism, purchase intention, local product food
Strategi Pengembangan Bisnis Pada Industri Otomotif: Business Development Strategy in The Automotive Industry Titis Wicaksono; Rizal Syarief; Siti Jahroh
Jurnal Aplikasi Bisnis dan Manajemen (JABM) Vol. 6 No. 2 (2020): JABM Vol. 6 No. 2, Mei 2020
Publisher : School of Business, Bogor Agricultural University (SB-IPB)

Show Abstract | Download Original | Original Source | Check in Google Scholar | DOI: 10.17358/jabm.6.2.229

Abstract

PT. XYZ is part of the steel industry that focuses on the automotive sector which is very possible to increase business capacity. The decline in profit ratio in the last four years has triggered the development of a business model. The research aims to (1) identify the business model canvas of PT. XYZ, (2) analysis of the influence of internal and external factors for the company, and (3) create a business development strategy. The research was conducted using descriptive methods utilizing business model canvas, SWOT, and Blue Ocean Strategy analysis tools. Research analysis techniques based on primary and secondary data collected in February 2019 - June 2019 through the method of observation, interviews, questionnaires, and literature studies. Respondents were selected by purposive sampling technique, which is the technique for determining respondents who are considered experts and understand the situation of PT. XYZ both internal and external. The business development strategy is carried out through the development of the company's current business model canvas with a combination of blue ocean strategy perspectives based on the direction of the company's business development, evaluation of business model elements, environmental analysis. According to the research results obtained two business model development strategies where the first strategy is the improvement of cost structure elements by reducing the purchase of imported raw materials and creating components of local suppliers in the key partner elements to reduce the cost of purchasing materials. The second strategy is to improve the elements of key activities by develop business operating sistems and develop customer segments, which targets companies that manufacture two-wheeled vehicle components. Keywords: business model canvas, blue ocean strategy, automotive, SWOT, steel
Portofolio Optimal Investasi Saham dari 6 Sektor pada Indeks LQ45 Periode 2015-2018: Optimal Portfolio Stock Investment from 8 Sectors of LQ45 During Period 2015-2018 Benyamin Verkino; Bonar M. Sinaga; Trias Andati
Jurnal Aplikasi Bisnis dan Manajemen (JABM) Vol. 6 No. 2 (2020): JABM Vol. 6 No. 2, Mei 2020
Publisher : School of Business, Bogor Agricultural University (SB-IPB)

Show Abstract | Download Original | Original Source | Check in Google Scholar | DOI: 10.17358/jabm.6.2.389

Abstract

The purpose of this research is to build an optimum investment portfolio of stocks using Single Index Model (SIM) from 31 stocks of 8 sectors LQ45 indices (trade, mining, infrastructure, consumer, industry, agriculture, finance, and properti) during period 2015-2018. Based on the result of research, investor can form an investment portfolio that consists of 4 stocks (BBCA, SRIL, PTBA, and WSKT from finance, industry, mining, and property sectors) with portfolio’s expected rate of return of 0.351% per week and portfolio’s variance of 0.039% per week, compared with IHSG’s rate of return and variance for 0.091% and 0.037% per week. Signifcance’s test using one sample t-test shows portfolio’s return is significantly greater compared with market’s return or IHSG. Performance measurement of portfolio by using Sharpe, Treynor, and Jensen’s ratio shows a positive ratio compared to IHSG (Sharpe 0.117, Treynor 0.002, Jensen: 0,002) which means this portfolio will give higher rate of return than what is being offered by IHSG. Keywords: IHSG, LQ45, portfolio, sector, single index model
Perencanaan Produksi Agregat CV XYZ Dengan Jumlah Tenaga Kerja Tetap: Aggregate Production Planning CV XYZ with Amount of Permanent Employment Fadhillah Fairuzzahira; Sukardi Sukardi; Yandra Arkeman
Jurnal Aplikasi Bisnis dan Manajemen (JABM) Vol. 6 No. 2 (2020): JABM Vol. 6 No. 2, Mei 2020
Publisher : School of Business, Bogor Agricultural University (SB-IPB)

Show Abstract | Download Original | Original Source | Check in Google Scholar | DOI: 10.17358/jabm.6.2.291

Abstract

CV XYZ is a growing plywood company. In increasing the company's competitiveness, CV XYZ seeks to find more ideal production planning for the company. The difference between supply and demand of CV XYZ has a total gap of 7,676 m3 over a period of 30 months. This proves that the current CV XYZ production planning is not ideal to be able to keep up with fluctuating demand. This study aims to analyze medium term production planning. Demand forecasting method is used to determine demand in the coming 12 months period. To compare the current CV XYZ strategy with the level, chase, mixed strategy. Based on calculations that have been made using demand and CV XYZ production variables, it is known that the ideal method used for future production planning is the chase strategy. The chase strategy focuses on eliminating existing inventory in the company, using adjusting the number of working days to the number of demands, as well as purchasing units from subcontracts. The use of a chase strategy has a 43% lower cost impact. In 2017-2018, the average monthly production cost is Rp1,633,316,531 to Rp930,905,200. Keywords: demand forecasting, aggregate planning, level strategy, chase strategy, mixed strategy
Tingkat Tingkat Kematangan Sistem Informasi Manajemen Aset (SIMA) Institut Pertanian Bogor Versi Beta Menggunakan Cobit 4.1: Maturity Level Asset Management Information System (SIMA) IPB University Beta Version Using Cobit 4.1 Hasan Firdaus; Erizal Erizal; Irman Hermadi
Jurnal Aplikasi Bisnis dan Manajemen (JABM) Vol. 6 No. 2 (2020): JABM Vol. 6 No. 2, Mei 2020
Publisher : School of Business, Bogor Agricultural University (SB-IPB)

Show Abstract | Download Original | Original Source | Check in Google Scholar | DOI: 10.17358/jabm.6.2.416

Abstract

Inadequate asset management in non-profit organizations, in this case, Higher Education (PT), will harm the value of the potential benefits that can be obtained from those assets. SIMA IPB is the application of Information Technology (IT) which is expected to be able to support the achievement of accountability in the environment of IPB. In this research, the maturity level analysis of SIMA IPB uses the Framework of Control for Information and Related Technology 4.1 (COBIT 4.1), which is one of the tools used to see existing IT governance. COBIT has four domains, namely Plan and Organization (PO), Acquisition and Implementation (AI), Delivery and Support (DS), and Monitoring and Evaluation (ME). The results of this study were carried out in the PO, AI, DS and ME framework domain based on the maturity level of the COBIT 4.1 framework illustrated in the spider chart. The results found that the level of IT maturity in SIMA IPB Beta Version at Level 4 (managed) with an average maturity index (PO, 3.66), (AI, 3.39), (DS, 3.59), (ME, 3.54), and the gap value (gap) with an average value of 0.84, for the PO domain at level 4 (managed), AI domain level 3 (defined), DS level 4 (managed) domain and ME level 4 (managed) domain. Keywords: COBIT, maturity level, SIMA, information technology
Analisis Metode Penelitian pada Bidang CSR di Indonesia: Analysis of Research Methods in The Field of CSR In Indonesia Aprilia Rahmawati; Beltien Hanny Pramasterina; Doddy Setiawan
Jurnal Aplikasi Bisnis dan Manajemen (JABM) Vol. 6 No. 2 (2020): JABM Vol. 6 No. 2, Mei 2020
Publisher : School of Business, Bogor Agricultural University (SB-IPB)

Show Abstract | Download Original | Original Source | Check in Google Scholar | DOI: 10.17358/jabm.6.2.242

Abstract

The purpose of this study is to give a comprehensive picture about the development of Corporate Social Responsibility in accounting research in Indonesia. In this study, CSR research development was traced through mapping articles published in 14 national accredited journals and 10 international journals which sourced from Emerald, Elsevier, Springer, and Wiley. The sample of this research is 81 articles which examine CSR in Indonesia for the period of 2008-2018. This study classifies articles based on research topic, research method, and the model used by the researchers. The research showed that most of the study about CSR in Indonesia discussed about firm size and profitability (as antecedent variable), firm performance (as consequence variable), and the examination and application of CSR practices in Indonesia This research also showed that analytical method is commonly used as the research method in this topic. Keywords: corporate social responsibility, literature review, firm size, profitability, firm performance, analytical method

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