26 research outputs found

    EFEKTIVITAS METODE PEMBELAJARAN KOOPERATIF TIPE STAD TERHADAP PENINGKATAN KETERAMPILAN MATERI TANGGA NADA DI KELAS V SEKOLAH DASAR

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    Penelitian ini diawali oleh permasalahan rendahnya keterampilan materi tangga nada peserta didik kelas V pada pembelajaran SBdP di sekolah dasar. Adapun tujuan dari penelitian ini yaitu untuk mengetahui dan menganalisis efektivitas metode kooperatif tipe STAD serta membandingkannya dengan metode konvensional terhadap peningkatan keterampilan materi tangga nada. Penelitian ini dilakukan menggunakan metode eksperimen dengan jenis quasy eksperiment juga desain Nonequivalent control group design serta pemberian treatment pada setiap sampel penelitian. Adapun sampel penelitian dipilih secara acak. Penelitian terbagi menjadi dua kelompok yaitu eksperimen yang terdiri atas 40 peserta didik serta kelompok kontrol yang terdiri atas 48 peserta didik. Penelitian ini berhasil menemukan terjadinya peningkatan keterampilan materi tangga nada terjadi pada dua kelompok. Oleh karena itu, terdapat korelasi antara data pretest serta posttest pada setiap kelompok. Temuan juga menunjukkan bahwa untuk mencapai peningkatan rata-rata sebesar 63% pada metode kooperatif tipe STAD hanya memerlukan besaran pengaruh senilai 53% yang perlu diberikan sedangkan dengan metode konvensional peningkatan rata-rata terjadi sebesar 42% tetapi besaran pengaruh yang diperlukan ialah senilai 64%. Dengan demikian, hasil temuan pada keseluruhan pengolahan data menunjukkan bahwa metode kooperatif tipe STAD lebih efektif dibandingkan metode konvensional dalam meningkatkan keterampilan materi tangga nada peserta didik kelas V sekolah dasar

    Analisis Kualitas Desain dan Kunjungan Situs Pemerintah Daerah di Indonesia

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    Penelitian ini bertujuan untuk menganalisis kualitas desain dan statistik kunjungan situspemerintahan daerah (PEMDA) tingkat kabupaten/kota yang ada di Indonesia. Kualitasdesain didasarkan pada indikator kualitas yang dikembangkan oleh penelitiansebelumnya. Penelitian menggunakan data populasi situs PEMDA di Indonesiaberdasarkan hasil observasi situs pada Mei 2013. Analisis dilakukan bersifat deskriptifserta inferensial yang menunjukkan hasil bahwa terdapat variasi antardaerah terkaitkualitas desain maupun kunjungan terhadap situs PEMDA. Walaupun secara umumdapat dikatakan bahwa kualitas desain situs PEMDA di Indonesia masih kurangmemuaskan. Rendahnya kunjungan terhadap situs PEMDA mengindikasikan kurangmenariknya situs PEMDA bagi pengguna informasi meskipun dapat menandakankemungkinan tidak adanya kepedulian pengguna informasi atas kondisi dan pelaksanaanpemerintahan di daerah mereka. Selain itu ditemukan bahwa tingkat pendapatan aslidaerah dan ukuran daerah merupakan salah satu faktor yang menentukan kualitas desainsitus PEMDA di Indonesia

    Strategies of Distribution Effectiveness of Special Physical Allocation Funds in the Field of Marine and Fisheries

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    Indonesia still has tremendous opportunities to utilize and develop the potential of fisheries optimally. The government through DAK Marine and Fisheries Sector helps fund the physical development activities in the field of marine and fisheries to support fishery production. The effectiveness of DAK disbursement from the government to various regions becomes very important to accelerate the process of marine and fisheries development. The purposes of this research are as follows: (1) analyzing the constraints of DAK Marine and Fisheries Sector distribution; (2) analyzing the impact of DAK Marine and Fisheries Sector distribution; and (3) formulating the strategies needed to improve the effectiveness of DAK Marine and Fisheries Sector distribution. The processing techniques and data analysis in this research included data panel data regression analysis with Fixed Effect Model (FEM) method using Eviews 8 software and analysis of strategy formulation using Strengths - Weakness – Opportunities – Threats (SWOT) matrix. Based on the results of Regression, DAK Fishing Capture variables have no significant effects on Capture Fishery Production, while DAK Fishery Aquaculture variables have significant effects on Aquaculture Production. The results of formulation of alternative strategies using SWOT matrix exhibit the position point of IFE and EFE score points at the quadrant position III (Turn Around). The recommended strategy is the WO strategy i.e. to minimize the weaknesses to take advantages of opportunities

    OTOMASI DETEKSI PADA PENGGUNA BERGERAK DAN TETAP PADA WEB SERVER

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    Penggunaan telepon seluler sebagai sarana untuk mengakses website Departemen Tenaga Kerja dan Transmigrasi secara cepat dari mana dan kapan saja, merupakan suatu kebutuhan bagi pencari data dan informasi ketenagakerjaan dan ketransmigrasian. Otomatisasi sistem diperlukan untuk mengarahkan pengakses web ataupun wap dari pengguna tetap ataupun bergerak. Metode penelitian yang digunakan adalah pengamatan terhadap log pada webserver yang kemudian akan dituangkan ke dalam suatu analisa, pembuatan coding serta ujicoba

    Tata Kelola, Konsentrasi Saham Dan Kinerja Perusahaan Agroindustri Indonesia

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    . This study aims to investigate determinants of firm performance on agro-industrial firms that are listed in the Indonesian Stock Exchange (IDX). Agro-industry sector has contributed 15 percent of Product Domestic Bruto in 2012. Agro-industrial firms has also comparative and competitive advantages compare to other industries. Characteristics of this sectors are renewable resources, labor intensive, and the most resistant in economic crisis in Indonesia in 1998. Modeling of performance is analyzed by performing regression analysis of panel data. This study employs secondary data of 54 companies from year 2010 to 2013. The results show that performance is affected by ownership concentration, the effectiveness of good governance mechanism, especially the function of board of directors (BOD) in conducting their duties, leverage and size of a firm. Except for size variable, all other determinants affects positively on performance, in line with reseach hipothesis. However, board of commissioners, independent commissioners, auditors committee, and dividend payout are not significant factors in enhancing performance. The results can shade some highlights to management, investors and other decision makers to implement better governance practices in agro-industrial firms in Indonesia

    THE EFFECT OF PROMOTION COST AND DISTRIBUTION COST ON COMPANYS SALES OF THE FAST MOVING CONSUMER GOODS INDUSTRIES

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    The purposes of this study are (1) to analyze the effect of the promotion cost and distributioncost on companys sales partially and simultaneously (2) to formulate managerial implications related to the results of this study. Data was collected from 29 companies which separated into 18 foreign direct investments companies and 11 domestic investments companies.Secondary data was gathered through consolidated financial statements companies whichlisted on IDX for the 2007-2012 years ended. Data panel analysis fixed effect model was usedto estimate the effects of promotion cost and distribution cost. Based on the FEM analysis, allindependent variables of foreign direct investment and domestic investment companies hassignificant effect on their sales. The results of this study suggestedfor managerial implications to increase the efficiency of promotion cost and distribution cost

    Pengaruh Indeks Bursa Luar Negeri, Indikator Makroekonomi dan Krisis Ekonomi Global Terhadap Indeks Harga Saham Gabungan di Indonesia

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    The purpose of this study was to analyze the effect of foreign external factors i.e. foreign stock market indicies, world gold prices, and global economic crisis, and domestic external factors i.e. macroeconomic indicators on IHSG. Foreign stock market indices used in this study were DJIA (United States), Nikkei 225 (Japan) and DAX (Germany), while the macroeconomic indicators used included BI rate, inflation rate, and exchange rate of rupiah to USD. Global economic crises involved Subprime Mortgage (America) and European soverign debt (Europe) proxied by dummy crises. The analytical method used in this study was multiple regression analysis on monthly data of 2007-2015 period. The results of this study indicate that DJIA and Nikkei 225 had positively significant effects on IHSG. BI rate, exchange rate of rupiah to USD, and dummy crisis had negative effects on IHSG. Meanwhile, DAX, inflation rate, and world gold price had no significant effects on IHSG. Keywords: foreign stock market indices, macroeconomic indicators, global economic crisis, multiple regression analysis Abstrak: Penelitian ini bertujuan menganalisis pengaruh faktor eksternal ekonomi luar negeri yaitu indeks harga saham luar negeri, harga emas dunia dan krisis ekonomi global dan faktor eksternal dalam negeri, yaitu indikator makroekonomi terhadap Indeks Harga Saham Gabungan (IHSG) di Indonesia. Indeks harga saham luar negeri yang digunakan adalah DJIA (Amerika), Nikkei 225 (Jepang) dan DAX (Jerman). Indikator makroekonomi yang digunakan adalah BI rate, Inflasi dan Nilai Tukar rupiah terhadap USD. Krisis ekonomi global meliputi krisis Subprime mortgage (Amerika) dan European Soverign Debt (Eropa) yang diproxy oleh dummy krisis. Analisis menggunakan model regresi berganda dan data bulanan periode 2007-2015. Hasil penelitian menunjukkan DJIA dan Nikkei 225 berpengaruh signifikan positif terhadap IHSG. BI rate, nilai tukar rupiah terhadap USD dan dummy krisis berpengaruh signifikan negatif terhadap IHSG. Sedangkan variabel DAX, inflasi dan harga emas dunia tidak berpengaruh signifikan terhadap IHSG. Kata kunci: indeks bursa luar negeri, indikator makroekonomi, krisis ekonomi global, analisis regresi bergand

    Pengaruh Guncangan Makroekonomi terhadap Integrasi Pasar Modal di ASEAN-5

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    This study aim is to analyze the effects of the shocks of the macroeconomic variable on the capital market integration in ASEAN 5 represented by stock price indexes. The stock price indexes used included Indonesia (IHSG), Malaysia (KLCI), Singapore (STI), Thailand (SETI) and Philippines (PSEI), and the macroeconomic variables used in Indonesia included the industrial production (IPI), inflation (INFI), interest rate (SBI) and exchange rate (KURSI). The method used was the analysis of VAR/VECM using impulse response function (IRF), forecast error Variance decomposition (FEVD) and granger causality of the study period of 2001-2016. The results showed that IHSG and STI had a two-way causality and had a unidirectional causal relationship to PSEI, KLSE and SET. Shocks of inflation, interest rates and exchange rates had a negative correlation with the Index of the ASEAN 5, while industrial production shocks had a positive relationship. IHSG and KLSE were more influenced by the inflation rate in Indonesia while PSEI, STI and SET were more affected by interest rates in Indonesia. Keywords: composite index, ASEAN 5, macroeconomic variables, VAR /VECM, granger causalit

    Earning Management dan Expected Future Earning di Bursa Efek Indonesia

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    The purpose of this study was to applicated M-score to identify earning management in Indonesian corporation. This study also aims to analyst future earning condition from kind of group or sector of corporation which is indicated doing earning management. This study took a sample of 42 corporation using criteria about corporation which is had negatif information. The results of multiple linear regression analysis show that there is evidence that companies with an Earning Management detected earn lower future earnings (a study in Indonesian Stock Exchange Market), the ability of forecast changes in future earnings stems from its ability of predictive power of M-Score (Earning Management Detection Model). There is also, evidence that group companies which had “high attention” from Regulator earn lower expected future earnings. Based on the results of this study, the stake holder are advised to consider M-score to make judgement about financial reports.Keywords: earning management, expected future earning, indonesian stock exchange market, m-score, cross- sectional time-series dataAbstrak: Tujuan dari penelitian ini adalah untuk mengkaji aplikasi M-Score untuk mengidentifikasi earning management pada korporasi di Indonesia. Penelitian ini juga bertujuan mengkaji kondisi expected future earning dari kelompok korporasi yang di informasikan terindikasi melakukan earning management. Penelitian ini mengambil sampel dari 42 korporasi dengan menggunakan kriteria korporasi yang memiliki informasi negatif. Hasil analisis regresi linier berganda menunjukkan terdapat bukti apabila korporasi yang terdeteksi earning management akan mendapatkan expected future earning yang rendah. Kemampuan memprediksi perubahan pada expected future earning didapat dari kemampuan prediksi yang kuat dari M-score (Model untuk mendeteksi adanya earning management). Penelitian menunjukkan bahwa ditemukan konglomerasi usaha yang mendapat pengawasan dari regulator mendapatkan expected future earning yang rendah. Berdasarkan hasil penelitian ini, pemangku kepentingan disarankan menggunakan M-score ketika melakukan penilaian pada laporan keuangan.Kata kunci: earning management, expected future earning, bursa efek indonesia, m-score, data panel
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