<p>The global halal industry has shown significant development, and Indonesia has become one of the countries with great potential. This study aims to identify opportunities and challenges in developing the halal industry in Indonesia. This research uses a qualitative approach. Data sources used in the form of secondary data, which comes from library sources—technical analysis of data using the SWOT analysis approach. The results showed that the development of the halal industry in Indonesia included several sectors, namely the food and beverage sector, tourism, fashion, media and recreation, pharmaceuticals and cosmetics, and renewable energy. Based on SWOT analysis, it was found that there are strengths, weaknesses, opportunities, and challenges in developing the halal industry in Indonesia. Thus, in the future, to improve the halal industry in Indonesia, it is necessary to optimize the synergy of various elements ranging from the community, industry players, government, financial institutions, associations, academics, and educational institutions, as well as other related parties.</p>
Penelitian ini bertujuan untuk mengidentifikasi berbagai jenis sosialisasi dan edukasi, dan peranannya terhadap minat investasi, mengidentifikasi faktor pendukung dan penghambat, serta menganalisis efektivitas sosialisasi dan edukasi pasar modal syariah. Penelitian ini menggunakan pendektan kuantitatif deskriptif. Sumber data yang digunakan merupakan data primer yang diperoleh dari penyebaran kuesioner. Hasil penelitian menunjukkan bahwa sosialisasi dan edukasi kepada mahasiswa melibatkan berbagai informan yang meliputi teman, dosen, pengurus galeri investasi, seminar, kuliyah, media (cetak maupun elektronik), selebaran, guru SMA, buku, orang tua, dan internet. Sosialisasi dan edukasi juga melibatkan media sosial yang meliputi facebook, BBM, line, blog, whatsap, instagram, kakaotalk, buku, twitter, internet (searching), dan wechat. Peran masing-masing informan dan media beragam, baik dari sisi intensitas maupun pengaruhnya (peranan) terhadap minat investasi mahasiswa. Faktor pendukung minat investasi mahasiswa meliputi memajukan pasar modal, keingintahuan, untuk tabungan masa depan, ingin mendapatkan keuntungan (laba),belum tahu, ingin menjadi pengusaha sukses, ingin kaya, ingin berinvestasi, ingin memiliki saham, karena menjanjikan, dan warren buffet (tokoh). Sementara faktor pengahambatnya meliputi modal (uang), kerugian, kurangnya pengetahuan (cara dan tempat), ragu-ragu kesyariahannya. Berdasarkan temuan tersebut, maka perlu adanya strategi untuk mengoptimalkan peranan sosialisasi dan edukasi agar semakin luas dan merata. Kata Kunci: Sosialisasi; edukasi; investasi; dan pasar modal syariah The role of socialization and education in growing interest in investment in the sharia capital market Abstract This study aims to identify various types of socialization and education, and their role in investment interests, identify supporting and inhibiting factors, and analyze the effectiveness of sharia capital market socialization and education. This study uses descriptive quantitative approach. The source of data used is primary data obtained from questionnaires. The results showed that the socialization and education of students involved various informants including friends, lecturers, investment gallery administrators, seminars, lecturers, media (print and electronic), leaflets, high school teachers, books, parents, and the internet. Socialization and education also involve social media which includes Facebook, BBM, line, blog, whatsap, instagram, kakaotalk, books, twitter, internet (searching), and wechat. The role of each informant and the media is diverse, both in terms of intensity and influence (role) on student investment interests. Supporting factors of student investment interests include advancing capital markets, curiosity, for future savings, wanting to get profits (profits), not knowing, wanting to be a successful entrepreneur, wanting to be rich, wanting to invest, wanting to own shares, because of promises, and warren buffets (figures). While the inhibiting factors include capital (money), loss, lack ...
<p class="IAbstrakIsi">The objective of this research is to analyze the comparison of sharia and nonsharia stock performance. The sample is a company listed on the Indonesia Stock Exchange, listing from 2013-2017. The sample consists of nonsharia stock (LQ45) and sharia stock (Jakarta Islamic Index). Sampling method used purposive sampling technique. Data analysis technique used Risk-Adjusted Return Measurement and analyzed by using paired sample T-Test. Based on analysis and discussion, there is no significant differences between portfolio performance of LQ45 and JII, either using Sharpe, Treynor, and Jensen alpha Index. Based on annual data, the performance of JII’s portfolio is better than LQ45 when macroeconomic is depression, while LQ45 portfolio performance is better when macroeconomic is booming. Thus, JII portfolios are more effective used when the economy is depressed, while LQ45 is more effective when the economy is booming.</p>
The growth of Islamic banking assets in Indonesia has experienced a very significant growth. The purpose of this study is to analyze the internal and external factors that influence this growth. This research method uses a quantitative design with a causal approach. Internal data sources use Islamic bank financial reports for the 2016-2020 period and external data, namely inflation. The sampling technique was determined by purposive sampling method, namely 7 Islamic Commercial Banks. The results showed that the internal factors NPF and ROA had no significant effect on assets. In contrast, BOPO has a significant effect on assets. External factors, inflation have a significant effect on Islamic banking assets.
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