HERMADA DEKIAWAN
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KONVERGENSI PENERIMAAN DAN PENGELUARAN PEMERINTAH PROVINSI DI INDONESIA: dekiawan, hermada
Buletin Ekonomi Moneter dan Perbankan Vol 17 No 1 (2014): JULY 2014
Publisher : Bank Indonesia

Show Abstract | Download Original | Original Source | Check in Google Scholar | DOI: 10.21098/bemp.v17i1.1

Abstract

The study analyse sigma and beta convergence of provincial government revenues and expenditures in Indonesia (APBD) by using panel data 30 provinces over the period 2000-2012. The variables used in this study consists of real income per capita and the revenues and expenditures variables in the APBD. The study also included a spatial weights matrix to analyse dependency among provinces. Spatial weights matrix used consists of two types of weights, the real income per capita and the geographical distance. Testing for the presence of spatial dependency performed using Moran's I. The model used in this study are spatial autoreregressive model (SAM) and the spatial error model (SEM). The models are estimated using panel least squares, fixed effects, random effects, as well as both GMM first difference (GMM-DIFF) and system GMM (GMM-SYS). Based on sigma convergence approach, the results of the study showed that during the period of 2000-2012 occurred convergence on total revenue, income, tax, fund balance, total spending, employee spending, and goods spending, but not for the real income per capita. Estimation with beta convergence approach conducted on four variables as each sample (in per capita value), namely: total income, tax, total spending, and goods spending. Estimation with beta convergence is done by using additional explanatory variables which include: economic growth, the degree of openness, as well as economic growth. Based on the beta convergence approach, the study results indicate the occurrence of convergence on total income, tax, total spending, and goods spending. Estimates also lead to the conclusion that there are spatial dependencies between provinces either use distance and income per capita weight.
KONVERGENSI PENERIMAAN DAN PENGELUARAN PEMERINTAH PROVINSI DI INDONESIA: PENDEKATAN DATA PANEL DINAMIS SPASIAL TAHUN 2000-2012 dekiawan, hermada
Buletin Ekonomi Moneter dan Perbankan Vol 17 No 1 (2014): JULY 2014
Publisher : Bank Indonesia

Show Abstract | Download Original | Original Source | Check in Google Scholar | Full PDF (16.886 KB) | DOI: 10.21098/bemp.v17i1.4

Abstract

The study analyse sigma and beta convergence of provincial government revenues and expenditures in Indonesia (APBD) by using panel data 30 provinces over the period 2000-2012. The variables used in this study consists of real income per capita and the revenues and expenditures variables in the APBD. The study also included a spatial weights matrix to analyse dependency among provinces. Spatial weights matrix used consists of two types of weights, the real income per capita and the geographical distance. Testing for the presence of spatial dependency performed using Moran's I. The model used in this study are spatial autoreregressive model (SAM) and the spatial error model (SEM). The models are estimated using panel least squares, fixed effects, random effects, as well as both GMM first difference (GMM-DIFF) and system GMM (GMM-SYS). Based on sigma convergence approach, the results of the study showed that during the period of 2000-2012 occurred convergence on total revenue, income, tax, fund balance, total spending, employee spending, and goods spending, but not for the real income per capita. Estimation with beta convergence approach conducted on four variables as each sample (in per capita value), namely: total income, tax, total spending, and goods spending. Estimation with beta convergence is done by using additional explanatory variables which include: economic growth, the degree of openness, as well as economic growth. Based on the beta convergence approach, the study results indicate the occurrence of convergence on total income, tax, total spending, and goods spending. Estimates also lead to the conclusion that there are spatial dependencies between provinces either use distance and income per capita weight.  
Visi dan perencanaan pemerintah daerah dalam perubahan global: Kajian pendekatan manajemen strategis Dekiawan, Hermada
Economic Journal of Emerging Markets Vol 2, No 3 (1997)
Publisher : Universitas Islam Indonesia

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Abstract

In the globalization era, every government will have to be efficient and transparent. It is also applied to regional governments because they will deal with complex circumtances. For example, they will deal with foreign investors that will invest in the regional governments authority.
SIMULASI MODEL SWOT-AHP DALAM PENENTUAN PILIHAN ALTERNATIF STRATEGI PENGEMBANGAN PERGURUAN TINGGI VOKASI D3 Dekiawan, Hermada; Subagyo, Hasan
Erudio Journal of Educational Innovation Vol 5, No 1 (2018): Erudio (Journal of Educational Innovation)
Publisher : Universitas Brawijaya

Show Abstract | Download Original | Original Source | Check in Google Scholar | DOI: 10.18551/erudio.5-1.3

Abstract

This study aims to apply the concept of SWOT combined with Analytic Hierarcy Process (AHP) in the determination of alternative policy or development strategies. The data used in this study are hypothetical data simulated in the SWOT-AHP model. Given that this study is a model simulation, there are several assumptions used before the data is simulated into the SWOT-AHP model. There are three development alternatives assumed in this study: (1) college diversification and differentiation, (2) development of university into polytechnic or D4 or S1, and (3) development of supporting business unit of university. The three alternatives are analyzed by SWOT-AHP approach in order to determine appropriate development alternatives through 32 questions. The result of the study show that the SWOT-AHP model can be used in the determination of alternative college development. In the implementation, the number of respondents, as well as the parties involved need to be adjusted in order to provide optimal result.
INTEGRASI PASAR KEUANGAN INDONESIA DI ASEAN: PENDEKATAN FORWARD LOOKING JAVA, WIHANA KIRANA; DEKIAWAN, HERMADA
Journal of Indonesian Economy and Business Vol 12, No 1 (1997): January
Publisher : Faculty of Economics and Business, Universitas Gadjah Mada

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Abstract

This paper tries to analize the Indonesian financial integrated market inAsean, except Brunei and Vietnam. In this paper, integration expressed by the respond of interest rate to the forward discount/premium curs in the cross rate. In general economic actors judge his actual decision based on backward looking, but in this research, will analized the impact of society expectation for the future period to the actual decision. The forward looking method in this paper is using the co-integration approach and long term unit of F.CM (Error Correction Model) from the data performance. The outcome shows that the community performance in financial integrated market as showed by the interest rate respond to the forward curs, significantly. However, the impact is still relatively small. Forward looking significance indicates tiiat the actual condition is influenced by community expectation about the future.
KONVERGENSI PENERIMAAN DAN PENGELUARAN PEMERINTAH PROVINSI DI INDONESIA: PENDEKATAN DATA PANEL DINAMIS SPASIAL Dekiawan, Hermada
Buletin Ekonomi Moneter dan Perbankan Vol 17 No 1 (2014): JULY 2014
Publisher : Bank Indonesia

Show Abstract | Download Original | Original Source | Check in Google Scholar | Full PDF (16.886 KB) | DOI: 10.21098/bemp.v17i1.52

Abstract

The study analyse sigma and beta convergence of provincial government revenues and expenditures in Indonesia (APBD) by using panel data 30 provinces over the period 2000-2012. The variables used in this study consists of real income per capita and the revenues and expenditures variables in the APBD. The study also included a spatial weights matrix to analyse dependency among provinces. Spatial weights matrix used consists of two types of weights, the real income per capita and the geographical distance. Testing for the presence of spatial dependency performed using Moran’s I. The model used in this study are spatial autoregressive model (SAM) and the spatial error model (SEM). The models are estimated using panel least squares, fixed effects, random effects, as well as both GMM first difference (GMM-DIFF) and system GMM (GMM-SYS). Based on sigma convergence approach, the results of the study showed that during the period of 2000-2012 occurred convergence on total revenue, income, tax, fund balance, total spending, employee spending, and goods spending, but not for the real income per capita. Estimation with beta convergence approach conducted on four variables as each sample (in per capita value), namely: total income, tax, total spending, and goods spending. Estimation with beta convergence is done by using additional explanatory variables which include: economic growth, the degree of openness, as well as economic growth. Based on the beta convergence approach, the study results indicate the occurrence of convergence on total income, tax, total spending, and goods spending. Estimates also lead to the conclusion that there are spatial dependencies between provinces either use distance and income per capita weight. Keywords: Sigma and Beta convergence, spatial weights, panel data, revenue and expenditure, the provincial budget (APBD)JEL Classification: H7,R1
ADK, UBK, DAN POTENSI EKONOMI LOKAL: STUDI KASUS DI KABUPATEN KUTAI BARAT Dekiawan, Hermada
Wahana: Jurnal Ekonomi, Manajemen dan Akuntansi Vol 13, No 1 (2010)
Publisher : Akademi Akuntansi YKPN Yogyakarta

Show Abstract | Download Original | Original Source | Check in Google Scholar | Full PDF (122.542 KB) | DOI: 10.35591/wahana.v13i1.38

Abstract

This paper discusses the problems of Village Fund Allocation (ADK) and Village Joint Venture (UBK) relation to the potential of local economies in West Kutai District (Kubar). ADK and UBK is one of the components derived from the policy of the Village Fund Allocation (ADD) as set forth in the Act and Regulation of the Minister. In both these legal products, ADD requires local governments to allocate funds for community empowerment sebaian village, with several criteria. However, in practice the policy of ADD cause multiple interpretations, so that the order to each region has different implementations in the policy of ADD, including Kubar. In this paper, will study the implementation of ADK / UBK Kubar relation to local economic potential. Local economic potential Kubar identified by using the weighting, so that the condition information is obtained, which are classified into 3 groups: developed, developing, and growing. The study shows that policies ADK / UBK did not refer to the criteria of the area, so the impact ADK / UBK in economic development Kubar not optimal. On the basis of this, the policy ADK / UBK needs to be associated with the potential of the region, to be more effective in promoting community economic empowerment.Keywords: ADK, UBK, Kutai Barat, Local Economic Development