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1

Meila Farhatus Soliha, Kangza Ardila, Salsabila Nur ‘Aifa, Iqbal Asyraf Junius, and Naerul Edwin Kiky Aprianto. "Konsentrasi Industri Berdasarkan SCP (Structure-Conduct-Performance)." JURNAL ILMIAH EKONOMI DAN MANAJEMEN 3, no. 1 (2024): 73–79. https://doi.org/10.61722/jiem.v3i1.3405.

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The market will continue to undergo changes, as well as the industrial market, so as to enable the perpetrators of the industry to persevere in the midst of market competition, to determine market structures, can be used a method often referred to as an industrial concentration. This is often the case in the midst of economic turmoil, with the industrial concentration based on SCP (Structure-Conduct-Performance) of the problems associated with market conditions and structure will be predicted. This study deals with the understanding, insight, and concept of industrial concentration. The method used is qualitative descriptive. The purpose of this research is to analyze industrial concentration as one part of the economic substance.
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de Figueirêdo Junior, H. S., M. P. M. Meuwissen, and A. G. J. M. Oude Lansink. "Integrating structure, conduct and performance into value chain analysis." Journal on Chain and Network Science 14, no. 1 (2014): 21–30. http://dx.doi.org/10.3920/jcns2014.0231.

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Value chain analysis has been adopted by several research and funding institutions for analysing local development opportunities. Development practitioners, however, are still looking for more solid grounds for value chain strategy development, especially since the expected outcomes of interventions, such as poverty reduction, have been unclear. This paper aims to extend the Structure-Conduct-Performance (SCP) framework to connect value chain strategies, such as product, market, technology and governance choices, to outcomes with respect to local development. The extended SCP framework is developed through a literature review and an analysis of structure, conduct and performance aspects and their interactions. In this extended value chain SCP framework, the unit of analysis is not a firm, but a portion of a value chain in a territory, a local netchain, competing against another netchain elsewhere. The proposed value chain SCP framework highlights categories of structure, conduct and performance for value chains and provides an integrated approach to explore possible interactions among those categories. The use of the value chain SCP framework will help practitioners to evaluate different policy interventions. The application of this framework to devise strategies for several value chains is expected in future research, as well as the inclusion of social and environmental conduct and performance categories.
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Ray, Margaret A. "Economic Education, Experimental Methods and the Structure-Conduct-Performance Paradigm." American Economist 36, no. 2 (1992): 66–71. http://dx.doi.org/10.1177/056943459203600209.

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The Structure-Conduct-Performance (SCP) paradigm is commonly used in the field of industrial organization. The paradigm links market structure, firm behavior, and economic performance. Questions of industry organization, firm decision-making and economic efficiency in a wide variety of markets have been addressed using the SCP model. This paper applies the SCP paradigm to the area of economic education. To do this, an alternative model of economic education is developed. In this model, students are viewed as producers (of learning) while instructors determine the institutional setting and are one of the inputs into the production process. This view separates the areas where instructors may exert some control (setting class structure and providing good teaching) from the area where they have little control — student behavior. Using the model developed, this study employs an experiment to investigate student behavior. Students are placed in a strategic situation in which they must choose when and how much to study for weekly quizzes. The experiment represents a unique approach in economic education research and sheds light on student decision making.
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Argyroulis, Vasileios, Antonios Kargas, and Dimitris Varoutas. "Network Tower Sharing Analysis in Greece: A Structure–Conduct–Performance Approach." Network 5, no. 1 (2025): 7. https://doi.org/10.3390/network5010007.

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The paper intends to contribute to readers’ comprehension of the Greek telecommunications market, focusing on the strategic decisions associated with network tower-sharing analysis in Greece. The Greek telecommunications industry is described for the first time following the Structure–Conduct–Performance (SCP) paradigm of Industrial Organisation (IO), as a methodological tool of analysis. In that respect, an SCP model in its extended form is constructed, aiming to examine how structure, conduct, and performance interrelate to each other. More precisely, the SCP model explains how strategic decisions regarding tower infrastructure sharing between 2013–2022 were developed, as a result of a series of interactions and feedback effects, amongst market structure, operators’ conducts, and performances, resulting in strengthening competition and reshaping market structure with the entrance of a new player in the Greek mobile market, an independent TowerCo (Athens, Greece) in Greece. International tendencies and competition issues influencing domestic growth potentialities and alternative operators’ concentration will be addressed, too. The paper concludes with presenting a basically qualitative, explanatory interpretive analysis of the perspectives of network tower-sharing analysis in the Greek telecommunication industry, including policy recommendations for the near future and thoughts on future research, as well.
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Barua, Ratna, Malabika Roy, and Ajitava Raychaudhuri. "Structure, Conduct and Performance Analysis of Indian Commercial Banks." South Asian Journal of Macroeconomics and Public Finance 5, no. 2 (2016): 157–85. http://dx.doi.org/10.1177/2277978716671042.

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The market structure, conducts and performance of the Indian banking sector have changed since the introduction of banking sector reforms. Slower economic growth, coupled with asset quality problems in recent years, has taken a toll on the overall health of the Indian banking sector. Higher statutory capital requirement under Basel III has posed another major challenge to the Indian banks. The purpose of the study is to examine the impact of structural changes and conduct of Indian commercial banks on their profitability in the paradigm of structure–conduct–performance (SCP) framework. Market concentration, bank-specific/macroeconomic variables have been considered as important determinants of the profitability. The regression results find a negative relationship between profitability and market concentration and reject SCP hypotheses. The study found that capitalization, credit risk, leverage and ownership structure are the most important determinants of the profitability of Indian banks. The study also found that financial crisis had no significant impact on the profitability of Indian banks. JEL Classification: C4, G21, G28, L19
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Stănciulescu, Gabriela Cecilia, and Elisabeta Ilona Molnar. "Structure, conduct and performance paradigm in assessing travel agency performances." Proceedings of the International Conference on Business Excellence 11, no. 1 (2017): 802–9. http://dx.doi.org/10.1515/picbe-2017-0085.

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Abstract The purpose of this paper is to present and exemplify traditional and neoclassical approaches to market structure and tourism firm performance analysis. The paper tackles some of the industrial economic thinking trends which were meant to fill the gaps left by the traditional approaches. Two approaches stand out from among the industrial economic trends: SCP paradigm and game theory. The results show that the strategy tourism operators prefer is to practise high prices; however there is no certainty that the competitors would adhere to such an idea at the beginning or during the season.
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7

Ngatindriatun. "Analysis of Batik Semarang Business Performance Using SCP (Structure-Conduct-Performance) Approach." International Journal of Management and Sustainability 3, no. 4 (2014): 225–33. http://dx.doi.org/10.18488/journal.11/2014.3.4/11.4.225.233.

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Batik Semarang is one of Indonesia’s national heritage, which once had disappered in Japan colonialism era. In 2006, the city government of Semarang started to redevelop Batik Semarang as a regional identity of Semarang, by conducting a preservation program of Batik Semarang. This research’s objective is to identify and analyze the business performance of Batik craftsmen or batik maker in Semarang focused on the study on production, distribution, and market aspects. The fact arose is the decreasing number of Batik craftsmen year by year. The research was conducted by using the survey method on 17 batik craftsman in Semarang city. The Analysis of Batik Semarang’s Business Performance uses SCP approach which covers market structure analysis, conduct analysis, and performance analysis. The industry level market is moderately concentrated over the study indicated by the CR4 75% and HHI 1889. The result of market structure analysis suggest an oligopolistic market structure. Performance analysis involves the elements of price conduct, product conduct, and market conduct. Price conduct shows that 76 % of respondents act as the price maker. Product conduct shows that 70 % of respondents have chosen to do product diversification. Market conduct shows that 56 percent of producers sell the products directly to the consumers.. Performance analysis is viewed from the element of Batik business profitability, which shows the average R/C ratio of 1.72 and the average ROA of 0.51. This indicates that Batik Semarang business is still profitable.
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Lelissa, Tesfaye Boru, and Abdurezak Mohammed Kuhil. "Empirical Evidences on Structure-Conduct-Performance Relationship in Banking Sector: A Literature Review." GIS Business 13, no. 4 (2018): 11–20. http://dx.doi.org/10.26643/gis.v13i4.3272.

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A detailed review of existing literature on the structure-conduct-performance (SCP) relationship indicates that the empirical divergence between SCP and competing hypothesis is still not conclusive which is attracting many research works across the world, and recently in Africa. Studies on SCP are dominated by quantitative analysis with exclusion of non-quantifiable variables such as related to conduct and/or those lack data (regulation). The majority of studies employ a multiple linear regression model where a measure of bank performance (mostly profit) is regressed on market concentration variables (such as k-firm, Herfindahl-Hirschman Index, etc.) along with some control variables. Studies that used the structure model have limited focus on other key variables like regulation, macroeconomic, and industry factors. They have also applied a quantitative approach and assumed conduct as being a derivative of the market structure. Hence, there was no attempt to explore the behavior of banks within the given structure, banking, and macro environment. Few studies have explicitly considered Ethiopia’s banking performance using the structural approach (SCP or ESH). Nevertheless, the existing bank performance studies were not analyzed incorporating big banks in the industry, with long period observation of banks, using parametric and non-parametric methods, which are scarce in the Ethiopian context.
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., Khushboo. "A Brief Literature Review on Structure, Conduct and Performance Paradigm: Critical Analysis for the Indian Industry." International Journal of Advances in Management and Economics 9, no. 5 (2020): 27–32. http://dx.doi.org/10.31270/ijame/v09/i05/2020/3.

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The paper critically reviews the famous study of the SCP paradigm in the Indian context. It also tries to compare and contrast both paper by Athreye & Sandeep Kapur[4] and Bhandari [5] concerning the research question, data, and model used, econometric technique, and finally, results. Keywords: Performance Paradigm, Indian Industry, Critical Analysis.
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Yudaruddin, Rizky. "MARKET STRUCTURE, CONDUCT AND PERFORMANCE: EVIDENCE FROM INDONESIA BANKING INDUSTRY." EKUITAS (Jurnal Ekonomi dan Keuangan) 19, no. 3 (2018): 299–317. http://dx.doi.org/10.24034/j25485024.y2015.v19.i3.126.

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Indonesian Banking Architecture Policies (API) since 2004 has resulted in the rising of banks concentration. This increase of banks concentration raises two opposing hypotheses,structure-conduct- performance (SCP) and efficient-performance hypothesis. SCP approach is a structural approach. This approach considers that the level of profits which the bank acquired is affected by the market structure and the degree of competition.The decreasing level of competition and the increasing in concentration in an industry will lead to increased profits for these industries.This study aims to prove, whether banks in Indonesia in 2009-2013 supportstructure-conduct-performanceor efficient-performance hypotheses. The sampling method used was purposive sampling. Using banks’ financial statement data sourced fromBank Indonesia, which then analyzed with panel data regression in e-views 8 program. It’s found that banks in Indonesia support the efficient hypothesis. However, the banks efficiency has yet encourage low interest practice and thus reducing the competitiveness of the Indonesian economy in the face ofASEAN Community 2015.
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11

Asngari, Imam. "Testing of the Structure-Conduct-Performance Hypothesis for Industrial Banking Profitability: Evidence from Indonesia." Integrated Journal of Business and Economics 8, no. 1 (2024): 696. http://dx.doi.org/10.33019/ijbe.v8i1.771.

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This study aims to test the validity of the Structure Conduct and Performance (SCP) hypothesis on banking profitability in Indonesia. This research data comes from banking financial statements from the Financial Services Authority (OJK) and Bank Indonesia. The analysis method uses the panel data regression method. The banking industry studied includes 110 conventional commercial banks and Islamic banks from 2010-2019. This research has found that the profitability performance of the banking industry is statistically significantly influenced by concentration, market share, cost efficiency to generate revenue, bank size, net interest income margin, Bank Indonesia's benchmark interest rate, and economic growth. Meanwhile, inflation is insignificant. The contribution of the research was to develop of Structure Conduct Performance (SCP) theory. The SCP is applicable to Indonesian banking and it is the Hybrid of the Efficient-Structure Traditional Hypothesis which states that the effects of efficiency and market concentration have improved banking profitability performance. The combination of structure, market share, and efficiency supports the hypotheses on Efficiency and SCP Traditional. High banking profitability due to the combination of efficiency and market concentration formed by increased assets and mergers. Therefore, OJK and Bank Indonesia in encouraging asset improvement through future mergers can improve efficiency, the competitiveness of the banking industry, the and economic stability of Indonesia.
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12

Yuliati, Lilis, Moh Adenan, Fajar Wahyu Prianto, Sunlip Wibisono, and Siti Komariyah. "The Structure-Conduct-Performance Paradigm in the Indonesian Manufacturing Industry." Jurnal Ekonomi Pembangunan: Kajian Masalah Ekonomi dan Pembangunan 25, no. 1 (2024): 69–83. http://dx.doi.org/10.23917/jep.v25i1.20483.

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This study examines the structure, conduct, and performance (SCP) of the Indonesian manufacturing industry, contributing the most to the national economy from 2017 to 2021. The research employed SCP analysis, which entails evaluating market concentration using the Herfindahl Hirschman Index (HHI) and analyzing market performance and industry behavior utilizing literature reviews. Based on Indonesian Central Statistics Agency groupings, the sample data covers 23 sub-sectors of the manufacturing industry. The results of the HHI calculations also show that the concentration of the manufacturing industry market is at a moderate level, mergers and acquisitions that result in moderate market concentration of HHI enhancements will raise anti-competitive concerns and will require further analysis and often require scrutiny. Hence, requiring proper supervision and strategy in developing competitiveness amidst global uncertainty. The conduct and performance of the manufacturing industry show an effort to grow better amid fairly tight global competition. Therefore, it is necessary for a number of parties to play a part in boosting productivity and the competitiveness of goods produced by the manufacturing sector. Governments should reduce their direct intervention in the market by implementing industrial policies and seeking market-oriented policy means to influence the economy.
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Cai, Yuan Cheng, and Min Zhao. "“R-SCP” Study on Water Conservancy Scenic Spot in China." Applied Mechanics and Materials 209-211 (October 2012): 366–71. http://dx.doi.org/10.4028/www.scientific.net/amm.209-211.366.

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Water conservancy scenic spot (WCSS) are developing rapidly and forming industry in China, but serious government regulation (GR) phenomenon is existed. This paper used national WCSS as research object and added GR factor in SCP analysis of industrial organization theory, which forming “R-SCP” analysis method. Authors used R-SCP method analyzing WCSS industry in China, which were from GR, market structure (S), enterprise conduct (C) and market performance (P) four aspects. Some conclusions can be drawn. Firstly, GR has positive and negative effects on market structure (S), enterprise conduct (C) and market performance (P). Secondly, GR can realize orderly development of water conservancy scenic spot resources, and improve market concentration, and reduce the virulent price competition, and promote the malignant effective resource configuration. Thirdly, enterprise conduct (C) also can break through the GR, which leads to the decline of market performance (P).
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Silmi, Bidari, Arti Yoesdiarti, Himmatul Miftah, and Sumantri. "ANALYSIS OF STRUCTURE, CONDUCT, PERFORMANCE (SCP)ROBUSTA COFFEE COMMODITIES (COFFEA CANEPHORA)." Indonesian Journal of Applied Research (IJAR) 1, no. 2 (2020): 118–27. http://dx.doi.org/10.30997/ijar.v1i2.59.

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Coffee commodity is one of the commodities that is the main target of the priority sub-agenda for agro-industry improvement. Indonesia is the fourth largest producer in the world and makes coffee one of the leading plantation commodities. Robusta coffee in Babakan Madang District is one of the coffees that has the potential to be developed because it is a specialty type of coffee that has a distinctive taste and has a wide-open market. However, inadequate marketing due to low prices at the farm level is one of the problems for Robusta coffee in Babakan Madang District. This study aims to analyze the structure, conduct, performance of Robusta coffee in Babakan Madang District, Bogor Regency. Data were analyzed qualitatively and quantitatively using the approach structure, conduct, performance (SCP). The result of this research is there are 6 established marketing channels, with channel II having the largest sales volume. Analysis of the market structure formed for the marketing of Robusta coffee is monopolistic competition at the farmer level. The level of village collector traders is oligopoly, large trader 1 and large trader 2 monopoly. The Robusta coffee market is very highly concentrated. Barriers to market entry are high for new competitors. In market behavior, the marketing functions performed by each marketing agency are exchange, physical, and facility functions. The price determination at the farm level is carried out by the marketing agency, then at the merchant level the price is determined by themselves. In market performance, the margin value and farmer's share efficient are obtained from channel VI, because on this channel the smallest margin value and they are obtained farmer share largest.
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Amalia, Shafira Ayu, and Firmansyah Firmansyah. "Analisis Kinerja Industri Kakao di Indonesia: Pendekatan Structure-Conduct-Performance (SCP)." Indicators : Journal of Economic and Business 3, no. 2 (2021): 167–76. http://dx.doi.org/10.47729/indicators.v3i2.78.

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Ardha Puspita Sari. "ANALISIS STRUCTURE, CONDUCT DAN PERFORMANCE (SCP) PERIKANAN TANGKAP DI KABUPATEN FAKFAK." Sosio Agri Papua 9, no. 2 (2020): 86–95. http://dx.doi.org/10.30862/sap.v9i2.123.

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Tujuan penelitian ini adalah untuk melihat efisiensi pemasaran melalui mendekatan SCP (Structure, Conduct, Performance atau struktur, perilaku, kinerja). Analisis kualitatif digunakan untuk menggambarkan struktur dan perilaku pasar, sedangkan analisis kuantitatif untuk melihat kinerja pasar yang meliputi analisis margin pemasaran, fisherman's share dan rasio keuntungan terhadap biaya (B/C rasio). Efisiensi pemasaran melalui pendekatan SCP menerangkan bahwa struktur pasar yang terjadi pada pemasaran perikanan tangkap di Kabupaten Fakfak adalah jenis pasar Persaingan Sempurna. Berdasarkan analisis perilaku pasar, maka terdapat 4 lembaga pemasaran yang terlibat dalam pemasaran perikanan tangkap yaitu nelayan, pedagang pengumpul, pedagang besar dan pedagang pengecer. Serta 6 saluran pemasaran ikan, dimana saluran terpanjang terdapat disaluran 6 yaitu nelayan - pedagang pengumpul - pedagang besar – pengolahan ikan - konsumen. Dalam saluran ini pedagang besar melaksanakan beberapa fungsi pemasaran yaitu fungsi pembelian, fungsi penjualan, fungsi pengemasan, fungsi penyimpanan dan fungsi penganggkutan. Analisis kinerja menunjukkan nilai margin pemasaran perdagangan ikan di masing-masing lembaga bervariasi dari yang terkecil yaitu Rp 5.000 hingga Rp 15.000,-. Jenis ikan yang memiliki harga dan margin tertinggi adalah ikan Kakap merah dan kakap putih. Nilai fisherman's share yang diperoleh dari hasil penelitian terlihat bahwa share yang diteima nelayan terbesar adalah pada pedagang pengecer untuk jenis ikan tenggiri, serta nilai B/C Ratio lebih besar dari nol (0). Kata Kunci: Struktur, Perilaku, Kinerja, Pemasaran, Perikanan
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Nabila, Destiati, and Firmansyah Firmansyah. "Analysis of Structure, Conduct and Performance of Fashion Industry in Indonesia." Efficient: Indonesian Journal of Development Economics 4, no. 3 (2021): 1313–23. http://dx.doi.org/10.15294/efficient.v4i3.48957.

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The fashion industry has a good contribution to the Indonesian economy. The Indonesian government responded to this potential by setting a strategic plan to become the center of world muslim fashion. This plan can be achieved by improving the performance of fashion industry. In the SCP paradigm, the performance of an industry is influenced by its market structure and its behavior. The results of regression using the fixed effect model (FEM) show that market share and PMA ratios have a significant and negative effect on PCM variable. The internal efficiency variable has a significant and positive effect on PCM variable. While the productivity variable does not have a significant effect on PCM variable.
 
 Industri fashion memiliki kontribusi yang baik bagi perekonomian Indonesia. Potensi tersebut direspons oleh Pemerintah Indonesia dengan menyusun rencana strategis untuk menjadi pusat fashion muslim dunia. Rencana ini dapat dicapai dengan meningkatkan kinerja industri fashion. Dalam paradigma SCP, kinerja suatu industri dipengaruhi oleh struktur pasar dan perilakunya. Hasil regresi dengan menggunakan model fixed effect (FEM) menunjukkan bahwa pangsa pasar dan rasio PMA berpengaruh signifikan dan negatif terhadap variabel PCM. Variabel efisiensi internal berpengaruh signifikan dan positif terhadap variabel PCM. Sedangkan variabel produktivitas tidak berpengaruh signifikan terhadap variabel PCM.
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Kusumo, Willyanto Kartiko, and Linda Ayu Oktoriza Novasari. "MODEL STRUCTURE CONDUCT PERFORMANCE DALAM MENGUKUR TINGKAT EFISIENSI PASAR PADA INDUSTRI PERBANKAN SYARIAH." Jurnal Dinamika Sosial Budaya 19, no. 2 (2018): 308. http://dx.doi.org/10.26623/jdsb.v19i2.993.

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<p><em>Efficiency is one of the performance parameters that is theoretically one of the performance that underlies the entire performance of an organization. Efficiency in the banking world is one of the most popular performance parameters, widely used because it is the answer to the difficulties in calculating the performance measures of banking. The measurement of bank efficiency can be done with Structure Conduct Performance (SCP). In general there are three approaches to the basic concept of financial sector efficiency model that is cost efficiency, standard profit efficiency, and alternative profit efficiency. In this research, the method used is Structure Conduct Performance (SCP). In this method, profit is modeled to be deviated from its efficient efficient frontier due to random noise and inefficiency. Profit in this method is influenced by input and output function, while input and output used in this research are Third Party Fund, Paid-up Capital, placements with Bank Indonesia, placements with other banks, and financing provided.</em></p>
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Anasweh, Mohammed Salameh. "The market concentration and banking industry performance." Corporate Ownership and Control 13, no. 1 (2015): 1257–64. http://dx.doi.org/10.22495/cocv13i1c10p11.

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This study examines the structure-profit relationship in the Qatari banking industry. The study sample consists of all the local banks operating in the market (13 banks) listed in Qatar Stock Exchange (QSE) over the 2009-2014 period. The hypotheses related to the market power structure which includes the traditional Structure-Conduct-Performance Hypothesis (SCP), and the traditional Efficiency Hypothesis (EH). The empirical results generally support the (SCP) Hypothesis in Qatari banking industry. Thus, the main implication of these results for the policymakers, of Qatari banking sector, is to expand the ongoing deregulation efforts with the aim of reducing the industry concentration and enhancing the market competitiveness.
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Ardella Naffa Ramadhini, Hanifah Ulul Azmi, Aan, Kenti Wahyuningsih, and Naerul Edwin Kiky Aprianto. "Strategi Penjualan Produk Sepeda Motor Yamaha Melalui Analisis Structure, Conduct and Performance (SCP)." JURNAL AKADEMIK EKONOMI DAN MANAJEMEN 1, no. 4 (2024): 117–25. https://doi.org/10.61722/jaem.v1i4.3291.

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This study discusses the importance of product sales in the context of effective marketing strategies in the era of globalization and intense market competition. Using a qualitative descriptive approach, this research analyzes the relationship between market structure, company behavior, and market performance through the Structure Conduct Performance (SCP) analytical framework. Literature studies and case analyses of companies, such as the research by Apriyanti and Ramadhani (2018) on palm oil marketing, indicate that oligopolistic market structures influence pricing and product strategies. This study also identifies factors affecting sales, including market conditions, seller capabilities, capital, and product innovation. The findings show that companies implementing aggressive and responsive marketing strategies to changing consumer preferences can achieve better market performance, as evidenced by PT Yamaha with its Nmax product, which has become one of the best-selling motorcycles in Indonesia. These findings emphasize the importance of understanding market structure and consumer behavior in formulating effective sales strategies to enhance competitiveness and company performance
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Oksalia, Elvira Putri, Ratna Winandi Asmarantaka, and Yusalina Yusalina. "Efisiensi Pemasaran Beras dengan Pendekatan Structure Conduct Performance." Jurnal Agribisnis Indonesia 11, no. 1 (2023): 87–104. http://dx.doi.org/10.29244/jai.2023.11.1.87-104.

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Banyuasin is a regency with the largest rice field area in South Sumatra. Yet, there are several problems in marketing rice, namely the low price received by farmers, price fluctuations, and lack of market information. This research aimed to analyze the efficiency of rice marketing in Banyuasin Regency. Sampling method in this research used snowball sampling. Data analysis of rice marketing efficiency used the structure, conduct, and Performance (SCP) approach. The results of the analysis showed that there were five marketing channels for rice in Banyuasin Regency. The market structure formed was an oligopsony market structure. Market performance is evaluated by calculating margins, farmer's share, and the ratio of profits and marketing costs where each channel has a different value. The most efficient marketing channel is marketing channel two which has a lowest marketing margin of Rp. 2.500 with a fairly high farmer's share value of 75 percent, and the highest profit and cost ratio value is 1,26. Rice farmers were expected to be able to take advantage of farmer groups in marketing their products. This can help farmers market their products more efficiently. In marketing rice, farmers are also suggested to process their products into rice. Therefore, the profits received by farmers can increase.
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Naby, Beby Alfin, and Hikmatul Lutfiah. "Analisis SCP (Structure, Conduct, Performance) Tembakau Voor-Oogst Kasturi di Kabupaten Jember." Kubis 3, no. 1 (2023): 12–25. http://dx.doi.org/10.56013/kub.v3i01.2281.

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In Jember Regency, Kalisat District produces the most Voor-Oogst Kasturi tobacco. As a result, the purpose of this study is to understand the structure, conduct and performance of the Voor-Oogst Kasturi Tobacco Market in the Jember Regency. Purposive and snowball sampling were used to collect samples. Structure, Conduct, and Performance (SCP) analysis was the technique employed. The findings indicated that an oligopsony type of market structure existed between farmer marketing agencies, small netherlands, and wholesalers in the kasturi tobacco market. In addition, market activity affects prices at the level of farmers, small-scale traders, and major dealers as price takers, while warehouses act as the tobacco estuary and determine prices. The technique used to determine prices is a bargaining system, and the price correlations for otok'an tobacco were found to be 0.010, 0.008 for spun tobacco, and 0.002 for otok'an-untingan tobacco, meaning that it is not perfect.While this is going on, the marketing performance for squirt tobacco's first marketing channel shows a marketing margin of 0, with channel I's profit share being 65.17% and its cost share being 0.96%.
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Panagiotou, George. "The impact of managerial cognitions on the structure‐conduct‐performance (SCP) paradigm." Management Decision 44, no. 3 (2006): 423–41. http://dx.doi.org/10.1108/00251740610656296.

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Mishra, Pulak, and Deepti Sahoo. "Structure, Conduct and Performance of Indian Banking Sector." Review of Economic Perspectives 12, no. 4 (2012): 235–64. http://dx.doi.org/10.2478/v10135-012-0011-9.

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Abstract In the context of initiation of economic reforms in general and changes in policies and regulations of the banking sector in particular, the present paper attempts to examine the structure-conduct-performance relationships in Indian banking sector. It is observed that there have been changes in the market structure of Indian banking sector, conducts of the banks and their performance in the post-reform era, especially during the last decade, though the changes have not been significant in every aspect. Using a panel dataset of 59 banks operating in India during 1999-2000 to 2008-2009 and applying the two-stage least squares (2SLS) method of estimation, the paper finds that there exist strong inter-linkages amongst structure of the market, banks’ conduct and their financial performance. While market share of a bank depends directly on its market size, asset base, selling efforts, and past financial performance, its selling efforts vary directly with market share, asset base, and past financial performance. On the other hand, returns on assets of a bank vary directly with its market share, but inversely with its asset base and selling efforts. The regression results essentially suggest for multidirectional and dynamic SCP relationships in Indian banking sector. It is also found that the nature of ownership has significant influence on market share, selling efforts and financial performance of the banks. As compared to the nationalised banks, market share of the private banks (both domestic and foreign) is found to be lower. But private banks make greater selling efforts and have better financial performance vis-à-vis their public sector counterparts
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Yudaruddin, Rizky. "MARKET STRUCTURE, CONDUCT AND PERFORMANCE: EVIDENCE FROM INDONESIA BANKING INDUSTRY." EKUITAS (Jurnal Ekonomi dan Keuangan) 19, no. 3 (2017): 299. http://dx.doi.org/10.24034/j25485024.y2015.v19.i3.1770.

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Kebijakan Arsitektur Perbankan Indonesia (API) sejak tahun 2004 telah berdampak pada meningkatnya konsentrasi bank. Peningkatan konsentrasi bank menimbulkan dua hipotesis yang berlawanan yaitu structure-conduct-performance (SCP) hypothesis dan efficiency hypothesis. Structure Performance Hypothesis di dasarkan pada pendekatan struktural. Pendekatan ini menilai bahwa tingkat profit yang diperoleh bank dipengaruhi oleh struktur pasar dan tingkat kompetisinya. Penurunan tingkat kompetisi dan peningkatan konsenterasi dalam suatu industri akan menyebabkan meningkatnya keuntungan yang diperoleh industri tersebut. Hal ini karena struktur pasar yang terkonsenterasi cenderung menimbulkan perilaku kolusif untuk tujuan memaksimumkan profit. Penelitian ini bertujuan untuk membuktikan, apakah perbankan di Indonesia tahun 2009-2013 mendukung structure-conduct-performance hypothesis atau efficiency hypothesis? Metode pengambilan sampel yang digunakan adalah purposive sampling. Menggunakan data laporan keuangan bank yang bersumber dari Bank Indonesia yang dianalisis dengan regresi data panel dengan bantuan program e-views 8 menemukan bahwa perbankan di Indonesia mendukung efficiency hypothesis. Namun efisiensi bank belum mampu mendorong tercipta praktek bunga rendah sehingga dapat menurunkan daya saing perekonomian Indonesia dalam menghadapi Masyarakat Ekonomi ASEAN (MEA) Tahun 2015.
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B., Sumarni, and Sitti Arwati. "KERAGAAN PEMASARAN BUAH NAGA (Hylocereus costaricensis) DENGAN PENDEKATAN STRUCTURE, CONDUCT AND PERFORMANCE (SCP)." JURNAL GALUNG TROPIKA 7, no. 3 (2018): 184. http://dx.doi.org/10.31850/jgt.v7i3.367.

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Deng, Xi. "Study on Performance Evaluation Model for Agent Construction Manager Based on SCP." Applied Mechanics and Materials 357-360 (August 2013): 2246–49. http://dx.doi.org/10.4028/www.scientific.net/amm.357-360.2246.

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Performance evaluation for agent construction manager is an important way to manage agent construction manager market. The author studied the SCP (Structure-Conduct-Performance) analysis paradigm. And on this basis, this paper establishes a three-dimensional performance evaluation model, which consists of three dimensions: agent organization, agent conduct and agent performance. Through the questionnaire survey, the author further refined evaluation dimension. Finally this paper sets up a comprehensive and practical performance evaluation index system.
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Kencana, Wintra Tama, and Jakaria ,. "PENGARUH STRUKTUR, PERILAKU, EFISIENSI, DAN KINERJA SEKTOR KONSTRUKSI (GO PUBLIC) DI INDONESIA." Media Ekonomi 25, no. 1 (2017): 33. http://dx.doi.org/10.25105/me.v25i1.5204.

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<em>The purpose of this paper is to analyze structure, conduct, efficiency and performance of construction industry and also the effect of market share (MS), efficiency (Ef), and company size (Size) towards the Return of Asset (ROA) of construction sector (go public) in Indonesia.</em> <em>The method that is used is Structure, Conduct and Performance (SCP) approach. Data Envelopment Analysis (DEA) is used to analyze the efficiency of construction sector. Quantitative analysis is used to discover the structure and performance of construction sector in Indonesia. The data were obtained from the Indonesian Stock Exchange. The data obtained and used in this paper are secondary data, which includes net profit, total asset, fixed asset, revenue and labor. The period which this paper covers is 2010 – 2015 (6 years).</em> <em>The result of SCP analysis shows that the structure of the construction sector in Indonesia is a strict oligopoly, with the average CR4 value above 50 percent. Conduct analysis in construction sector can be cooperate with competitors, pricing and promotion. While the performance of construction sector can be seen from its ROA, efficiency (Ef), and company size.</em>
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Octasylva, Annuridya Rosyidta Pratiwi, and Joko Rurianto. "Analisis Industri Telekomunikasi Seluler di Indonesia: Pendekatan SCP (Structure Conduct Perfoemance)." INOBIS: Jurnal Inovasi Bisnis dan Manajemen Indonesia 3, no. 3 (2020): 391–408. http://dx.doi.org/10.31842/jurnalinobis.v3i3.146.

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Industri telekomunikasi di Indonesia terus bergerak seiring dengan bertambahnya jumlah penduduk serta meningkatnya jumlah pengguna telepon seluler pada beberapa tahun terakhir. Peningkatan jumlah pelanggan tersebut diikuti dengan bertambahnya jumlah operator seluler yang memasuki industri. Pendekatan paradigma SCP (Structure-Conduct-Performance) yang dilakukan pada penelitian ini memiliki tujuan untuk menganalisis struktur, perilaku, dan kinerja industri telekomunikasi Indonesia secara terstruktur dan komprehensif. Struktur pasar akan dilihat dari jumlah pelanggan, market share antara operator, serta entry barrier. Perilaku industry dapat terlihat dari strategi korporasi melalui strategi produk, strategi bersaing, strategi pemasaran, dan analisa biaya investasi (CAPEK – OPEX) masing-masing perusahaan. Sedangkan kinerja industri dinilai melalui rasio likuiditas, profitabilitas, maupun leverage. Hasil penelitian menunjukkan bahwa struktur pasar pada industri telekomunikasi dalam hal ini adalah provider telepon seluar di Indonesia adalah jenis pasar oligopoli ketat. Perilaku industri yang tercermin pada strategi produk menunjukan bahwa inovasi merupakan hal penting dalam industri telekomunikasi. Kinerja industri telekomunikasi dengan parameter rasio ROA menunjukkan tingkat positif dengan PT Telekomunikasi Selular (Telkomsel) sebagai perusahaan yang memiliki nilai (ROA) Return on Asset paling tinggi dengan capaian nilai rerataannya pada industri telekomunikasi sebesar 25% - 30% selama 5 tahun terakhir.
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Asri, Linda Yulinda. "Analisis Structure, Conduct and Performance (SCP) pada Pemasaran Daging Sapi di Kabupaten Kubu Raya." Jurnal Ekonomi Pertanian dan Agribisnis 7, no. 3 (2023): 915. http://dx.doi.org/10.21776/ub.jepa.2023.007.03.1.

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<p><em>Structural problems of domestic cattle and beef marketing include: marketing infrastructure, market structure and price formation, and the existence of domestic marketing policies and regulations. The purpose of this study was to determine the description of beef marketing in Sungai Subdistrict, Kubu Raya Regency and to calculate the marketing efficiency of beef cattle using market structure, market conduct, and market performance (SCP) analysis approaches. The research was carried out in November-December 2021. Respondents were 60 farmers, and 32 sub-district traders, district traders, and retailers. The method used is a survey using a questionnaire. Descriptive analysis for marketing margins and analysis of market structure, market behavior and market appearance. The results showed that beef marketing in Sungai Raya Subdistrict consisted of 3 marketing channels, namely: 1) Breeders – Collector Traders, Sub-District Traders – Retailers – Consumers; 2) Breeders – District Collectors – Retailers – Consumers. ; 3) Jakarta Retailers-PT Agro Boga Utama Pontianak (Prov Distributor)-Regency/City Traders in West Kalimantan Province-Consumers. With a market structure approach, the beef market in Sungai Raya District tends to be less concentrated (low concentration). From market behavior, the payment system is good. Meanwhile, market performance shows that the distribution of margin, farmer's share, and profit ratio is evenly distributed in each marketing institution. From the SCP indicators above, it can be seen that beef marketing in Sungai Raya District is efficient.</em></p>
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Choi, B. Paul. "Advertising Intensity in the U.S Property and Liability Insurance Industry: Market Power or Profits?" Journal of Finance Issues 16, no. 2 (2017): 35–46. http://dx.doi.org/10.58886/jfi.v16i2.2253.

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This study aims to investigate the conduct of the U.S. Property and Liability insurers on the market in relation to the structure-conduct-performance (SCP) paradigm. Advertising activities constitute the conduct of the industry and the relationship between advertising intensity and market structure is empirically tested over 14-year period. The results indicate a positive and non-significant relation between concentration and advertising and a negative and significantrelation between performance and advertising. Thus, the conduct as measured by advertising intensity does not provide an additional value to the performance of insurers in this highly competitive market. These results are consistent with all three different types of concentration measures in two different profit equations.
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Adha, Chatijah, Yudi Sapta Pranoto, and Rati Purwasih. "Analisis Structure, Conduct, and Performance (SCP) pada Pemasaran Lada Putih (Muntok White Pepper) di Kabupaten Bangka Barat." Journal of Integrated Agribusiness 1, no. 2 (2019): 82–91. http://dx.doi.org/10.33019/jia.v1i2.1043.

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Lada Putih merupakan komoditas perkebunan yang berperan penting dalam kegiatan ekspor dan impor. Aspek pemasaran merupakan hal penting dalam pengusahaan perkebunan lada rakyat. Usahatani lada putih dilakukan secara berkala dan berkelanjutan di Kabupaten Bangka Barat didukung oleh potensi lada putih yang telah memiliki brand image (Muntok White Pepper). Dalam menjalankan usahatani lada putih maka perlu adanya analisis efisiensi pemasaran. Tujuan penelitian ini adalah (1) Mendeskripsikan saluran pemasaran lada putih di Kabupaten Bangka Barat, (2) Menganalisis efisiensi pemasaran lada putih menggunakan metode market strukture, market conduct, and market performance (SCP) di Kabupaten Bangka. Penelitian ini dilakukan dengan metode survei. Alat analisis yang digunakan adalah deskriptif kualitatif dan pendekatan SCP. Hasil penelitian menunjukan bahwa terdapat lima macam saluran pemasaran lada putih di Kabupaten Bangka Barat. Struktur pasar yang terbentuk dari pemasaran lada putih dominan ke pasar persaingan tidak sempurna yaitu oligopoli. Saluran IV merupakan saluran yang relatif lebih efisien di ukur berdasarkan nilai margin terkecil yakni Rp 4.000, Farmer’s share sebesar 92,59, dan R/C rasio sebesar 2,63.
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Hesti Ekawati, Muhammad Zilal Hamzah, Eleonora Sofilda, and Ahmad Ahmad. "Evaluating Market Structure, Firm Behavior, And Sustainability In The Maritime Industry Using Scp Framework." Dharma Ekonomi 31, no. 2 (2025): 21–40. https://doi.org/10.59725/de.v32i1.120.

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The maritime industry plays a critical role in global trade but faces growing pressure to integrate environmental sustainability into its operations. This research analyzes the industry using the Structure-Conduct-Performance (SCP) framework to understand the relationship between market structure, firm behavior, and both economic and environmental performance. The study provides original value by extending the traditional SCP model to include environmental sustainability, addressing a critical gap in previous research. Key research questions include how market concentration, regulatory compliance, corporate environmental responsibility (CER), and technological innovation affect both profitability and sustainability. Using qualitative data from industry professionals and maritime educators, the analysis highlights that proactive regulatory compliance and high CER commitment drive superior economic and environmental outcomes. Firms that invest in green technologies enjoy enhanced performance, while those prioritizing short-term profits struggle with long-term competitiveness. The results offer practical insights for policymakers and industry leaders, emphasizing the need for inclusive market structures and stronger regulatory frameworks to support sustainability across the sector.
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Uzunidis, Dimitri. "Propaedeutics in the theory of the industrial organisation: the SCP (structure, conduct, performance) model." Journal of Innovation Economics 20, no. 2 (2016): 197. http://dx.doi.org/10.3917/jie.020.0197.

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35

Angela, Meideline, and Wayan Sukadana I. "Structure and Conduct of the Ocean Freight Cargo Container Industry." INTERNATIONAL JOURNAL OF MULTIDISCIPLINARY RESEARCH AND ANALYSIS 06, no. 07 (2023): 2926–39. https://doi.org/10.5281/zenodo.8123420.

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The existence of globalization increases economic activity between countries. International trade activities are divided into two categories: exports and imports. Sea mode transportation requires tools to transport goods safely from the origin country to the destination country. These tools are called containers or cargo containers. The cargo container shipping industry is an industry that provides containers. The purpose of this study are to: 1) prove that the market structure in the ocean freight container cargo industry is oligopoly, 2) analyse the influence of market structure on behaviour in the ocean freight container cargo industry, and 3) prove the existence of market power in the ocean freight container cargo industry. This research uses time series data from 2010–2022 and cross section data from 100 companies. Data collection was conducted through non-participant observation and interviews. By using secondary data from companies in the global cargo container industry and interviews. Using SCP theory, the analysis techniques used are concentration ratio, HHI, market entry barriers, behaviour, and market performance. The results of the study found that the cargo container industry market is a moderately low-concentration oligopoly with high market entry barriers. Market structure influences corporate behaviour in the container industry. Market structure and company behaviour affect market performance through market power.
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Ahiakpor, Ferdinand, and Bartholomew David. "Market structure and profit performance of Banks in Sierra Leone." Oguaa Journal of Social Sciences 7, no. 2 (2015): 1–11. http://dx.doi.org/10.47963/joss.v7i2.326.

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The study examines the effects of market structure on profitability in the Sierra Leone banking industry. There are two competing hypotheses—the traditional structure–conduct–performance (SCP) hypothesis and the efficiency hypothesis (EH). Using pooled and quarterly data for the period 2006-2011, this study tests the validity of these two hypotheses. In general, the overall results of the study have been mixed. However, capital to asset ratio and expenses to asset ratio are found to influence their performance. But for definitive policy purposes, the impact of the banking structure needs to be explored further.
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Sakti, Imanuel Madea. "The Effect of Market Structure on Bank Performance in Central Java." Jurnal Economia 16, no. 1 (2020): 112–29. http://dx.doi.org/10.21831/economia.v16i1.30150.

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Abstract: The research on the Structure-Conduct-Performance (SCP) hypothesis in the banking industry has been done many times, including in Indonesia. However, it still focuses on commercial banks. This research aims to examine the relationship between market structure and bank performance by involving commercial banks and rural banks (Bank Perkreditan Rakyat/BPR) when they are in the same market in the regency/city level. It uses panel data from 565 banks in Central Java: 261 BPR and 304 Commercial Banks, divided into 34 regencies/cities during 2012-2016. Independent variables involve market concentration and market share which is also as moderating variable, and the dependent variable is bank performance. The hypotheses are examined by multiple linear regression with a random effect model. In general, the results support that the market structure has a significant positive effect on bank performance. Another result has found no collusive behavior among dominant banks. Keywords: Structure-Conduct-Performance, Commercial Bank, Rural Bank, Market Structure, Bank Performance Pengaruh Struktur Pasar terhadap Kinerja Bank di Jawa Tengah Abstrak: Penelitian mengenai hipotesis Structure-Conduct-Performance (SCP) pada industri perbankan telah banyak dilakukan, termasuk di Indonesia. Namun, penelitian tersebut hanya berfokus pada bank umum saja. Penelitian ini bertujuan untuk menguji hubungan antara struktur pasar dan kinerja bank dengan melibatkan bank umum dan Bank Perkreditan Rakyat (BPR) ketika berada di pasar yang sama di tingkat kabupaten/kota. Penelitian ini menggunakan data panel terdiri dari 565 bank di Jawa Tengah: 261 BPR dan 304 Bank umum, yang terbagi ke dalam 34 kabupaten/kota selama tahun 2012-2016. Variabel independen yaitu konsentrasi pasar dan pangsa pasar yang sekaligus sebagai variabel moderasi, dan variabel dependen adalah kinerja bank. Hipotesis diuji menggunakan regresi linier berganda dengan random effect model. Secara umum, hasil mendukung bahwa struktur pasar berpengaruh positif signifikan terhadap kinerja bank. Hasil lainnya menunjukkan tidak terdapat perilaku kolusif di antara bank-bank besar. Kata kunci: . Structure-Conduct-Performance, Bank Umum, BPR, Struktur Pasar, Kinerja Bank.
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Hidayat, Hendy Aprilian, and Alfa Farah. "Dampak Liberalisasi Perdagangan Terhadap Kinerja Industri Manufaktur di Indonesia (Pendekatan Structure-Conduct-Performance)." Jurnal Ekonomi dan Bisnis 18, no. 1 (2016): 1. http://dx.doi.org/10.24914/jeb.v18i1.244.

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<em>The influx of imported goods in the domestic market will pressure domestic producers to be more efficient. The more effiecient the domestic firm, the more competitive it becomes. This competitive firm is expected to have opportunities to expand to a larger market. This study analyzed the effect of trade liberalization to industrial performance in Indonesia. This study exploited data at the industry level, ie: 38 industries of three digits International Standard Industrial Classification (ISIC) during 2000-2009. The analysis was conducted within Structure Conduct Performance (SCP) framework. Industrial performance was measured by price-costmargin and trade liberalization was measured by export share and a dummy indicating implementation of Asean Free Trade Area (AFTA). Using the fixed effect model, the result showed weak evidence of the effect of trade liberalization to industrial performance in Indonesia. Dummy AFTA was negative and significant to industrial performance while export share was insignificant. The results might indicate that the adoption of AFTA endangered domestic firms’ performance.</em>
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Astiyah, Siti, Akhis R. Hutabarat, and Desthy V. B. Sianipar. "Dampak Liberalisasi Perdagangan terhadap Perilaku Pembentukan Harga Produk Industri melalui Structure-Conduct Performance Model." Buletin Ekonomi Moneter dan Perbankan 7, no. 4 (2005): 523–54. http://dx.doi.org/10.21098/bemp.v7i4.123.

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This paper analyzes the impact of trade liberalization on the domestic price of industry product by utilizing the structure-conduct-performance (SCP) model. Applying the model to a pooled data of the 3 digits ISIC level of Indonesian industry product, the result shows the abnormal price determination on industry level after the increase of trade liberalization. The existence of this phenomenon, the downward profit-margin rigidity, is indicated by the increase of the profit margin, which reduces the social welfare and tends to persist the inflation. A clear consequence for the Indonesian Central Bank, is to faster and increase the credibility of the middle and long term inflation target, either by clarify the policy signal and its consistency and increase the cooperation with the government.JEL: E31, L11, O24, P23Keyword:Trade liberalization, Structure-Conduct-Performance, Price, Industry
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40

Kifli Rifki Mubarok, Mohammad, Joko Susanto, and Ardito Bhinadi. "Analisis Kinerja Industri Minyak Kelapa Sawit di Indonesia Menggunakan Paradigma Structure Conduct Performance." SINOMIKA Journal: Publikasi Ilmiah Bidang Ekonomi dan Akuntansi 1, no. 4 (2022): 951–64. http://dx.doi.org/10.54443/sinomika.v1i4.474.

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This study aims to analyze the performance of the palm oil industry in Indonesia, using the Structure Conduct Performance (SCP) paradigm. The data in this study uses secondary data namely the annual reports of 10 companies engaged in the palm oil industry in Indonesia from 2015 to 2020 which are published on the company’s website. The data is then processed using Microsoft Excel 2016 software to obtain data on Market Share, Concentration Ratio 4, Minimum Efficiency of Scale, Capital Labor Ratio, Internal Efficiency, and Price Cost Margin. The analysis method of this research uses panel data regression analysis. The results of this study indicate that Concentration Ratio 4 has a negative and significant effect on Price Cost Pargin, while Capital Labor Ratio and Internal Efficiency have a positive and significant impact on Price Cost Margin of thePalm Oil Industry in Indonesia in 2015 – 2020.
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Ramadhan, Syahril. "Market Concentration, Price Dynamics, and Profitability in Indonesian Banking: An Empirical Investigation." International Journal of Digital Entrepreneurship and Business 5, no. 1 (2024): 38–53. http://dx.doi.org/10.52238/ideb.v5i1.152.

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This research delves into Indonesia’s banking sector’s competitive landscape, examining bank mergers’ effects on performance through the Structure Conduct and Performance (SCP) hypothesis. By reshaping market structure, bank mergers influence subsequent bank behavior and performance. The findings highlight a discernible pattern: an uptick in market concentration accompanies a decline in prices within the banking sector. This implies that mergers often yield economies of scale, enabling banks to offer more competitive rates. However, this reduction in prices directly impacts bank profitability. Moreover, the concentration ratio, a pivotal metric in market analysis, emerges as a significant gauge of industry competition. Serving as a structural measure of competition, the concentration ratio depicts the market share held by leading banks. Intriguingly, diminished competition, as indicated by higher concentration ratios, correlates with decreased profitability for banks operating within this framework. This exploration of Indonesia’s banking sector reveals a nuanced interplay between market structure, bank conduct, and overall performance. Through the SCP hypothesis, the study elucidates how seemingly routine bank mergers can trigger a cascade of effects, influencing market dynamics, profitability, and competitive positioning. Based on thorough analysis, the study furnishes strategic insights for policymakers, industry stakeholders, and the banking community, offering a comprehensive understanding of the ramifications of market shifts and guiding strategies to navigate Indonesia’s banking landscape adeptly.
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Bassey, Nsikan Edet, Ubokudom Etim and Okon, and Chinyere Charity )Okeke. "Effect of Market Structure and Conduct on the Performance of Selected Agro-Based Firms in Nigeria." International Journal of Management Sciences and Business Research 4, no. 2 (2015): 54–65. https://doi.org/10.5281/zenodo.3458798.

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In this study, the validity of the structure, conduct and performance (SCP) paradigm is tested with view to ascertaining which version of the hypothesis holds sway in Nigeria listed agro-based sector. Data collected from 22 listed agro-based firms for the period 2000-2010 were analyzed using the Ordinary Least Square (OLS) regression technique as well as granger causality test. The data was first examined for unit roots using the Augmented Dickey Fuller (ADF) and the Phillips- Peron (PP) tests. Result revealed that all the variables were stationary at first difference except market share (MKTS), return on capital employed (ROC) and cost efficiency (CEFF) that were later stationary at first difference. The major determinants of profitability were market share, capital to labour ratio and cost efficiency variables. Surprisingly, total number of firm branches and firm sizes carried the expected positive signs but failed to significantly explain the variation in profit of the sampled agro-based firms. Findings further revealed that the behavior of agro-based firms were consistent with the relative market
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43

Aleknavičiene, Aušra, and Manuela Tvaronavičiene. "SOME ASPECTS OF THE LITHUANIAN BANKING SECTOR TRANSFORMATION." Journal of Business Economics and Management 7, no. 4 (2006): 235–41. http://dx.doi.org/10.3846/16111699.2006.9636144.

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The paper deals with changes in Lithuanian banking sector, which occurred during the 1996–2005 period. Authors highlight main driving force – foreign direct investments (FDI) into sector. Structure‐conduct‐performance (SCP) approach for sector transformation analysis has been adapted and applied. Change of a set of indicators incorporated into presented variation SCP is being commented. On that basis authors evaluate transformations of banking sector in terms of number and capital origin of market players, sector expansion, concentration and financial performance efficiency. Assumption about more efficient functioning of foreign banks in less developed countries is being discussed; considerations concerning foreign capital impact, taking into account positive and negative plausible facets presented.
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Pujiharto and Sri Wahyuni. "Potato Trading Based on Structure Conduct Performance (SCP) in the Centre of Vegetable Production at Central Java Indonesia." Research in World Economy 11, no. 1 (2020): 171. http://dx.doi.org/10.5430/rwe.v11n1p171.

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This study aims to examine potato trading based on Structure, Conduct, Performance (SCP) in the highland vegetable production centers of Central Java Province. Potato trading in highland vegetable production centers in Central Java province has been analyzed using Structure, Conduct, and Performance (SCP) techniques. The data was collected through a survey and observation. The market structure was analyzed by market share, the Herfindahl-Hirschman Index (HHI) and the Concentration Ratio for Biggest Four (CR4). Analysis of market behavior includes the presence or absence of collusive practices in determining prices, the process of selling and buying, the formation of equilibrium prices, payment systems (cash, credit), and cooperation with other trading institutions. While market performance is analyzed by marketing margins and farmer's share. The samples of potato farmers were determined by the random sampling method and the traders determined by the snowball sampling method. The number of samples used was 82 potato farmers, 45 collecting traders, 10 wholesaling traders, and 14 retailing traders. The results of market structure research on potato trading are oligopsonies. Price behavior at farmers (producer) level is more controlled by collectors who deal directly with farmers. Wholesalers dominate purchases from collectors, the payments are made in cash or paid later. Moreover, the collusive practice between collectors and wholesalers occurs, especially in the provision of capital or credit. Furthermore, the performance of the potato market based on the trading system margin is greatest in pattern 2, while the farmer’s share is greatest in pattern 1 in the potato trading system.
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Apriyanti, Ira, and Juwita Ramadhani. "Strategi Pemasaran Kelapa Sawit Melalui Pendekatan Analisis Structure Conduct And Performance (SCP) di Kabupaten Simalungun." JASc (Journal of Agribusiness Sciences) 2, no. 1 (2018): 9–17. http://dx.doi.org/10.30596/jasc.v2i1.2498.

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Hörmann, D. M. "THE STRUCTURE-CONDUCT-PERFORMANCE (SCP) APPROACH FOR THE EVALUATION OF VERTICAL PRODUCTION AND MARKETING SYSTEMS." Acta Horticulturae, no. 340 (January 1995): 315–24. http://dx.doi.org/10.17660/actahortic.1995.340.41.

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Tu, Anthony H., and Shen-Yuan Chen. "Bank Market Structure and Performance in Taiwan Before and After the 1991 Liberalization." Review of Pacific Basin Financial Markets and Policies 03, no. 04 (2000): 475–90. http://dx.doi.org/10.1142/s0219091500000236.

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Two competing hypotheses regarding market structure and the performance of firms are the traditional "structure-conduct-performance" (SCP) hypothesis, in which high concentration lowers the cost of collusion and earns monopoly rents, and the "efficiency" hypothesis, which emphasizes the operating efficiency of particular firms. In this paper, we present the results from testing both the hypotheses in the context of Taiwan's banking market. Our goal is to understand the effect of the 1991 liberalization policy by examining whether market structure and firm performance in this industry differ in the periods before and after the 1991 revisions to the Banking Act. Prior to the 1991 revisions, our results do not support either the SCP or the efficiency hypothesis for Taiwan's banking industry. The industry's market structure seems to exhibit a kind of "quiet-life" competing environment. The results for the period after the 1991 revisions tend to support the competing efficiency hypothesis. Our findings suggest that the 1991 revisions to the Banking Act have stimulated competition and brought about an emphasis on efficiency in Taiwan's banking industry.
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Lubis, Putra Fisabilillah, Romano Romano, and Muhammad Rusdi. "ANALYZING THE STRUCTURE-CONDUCT-PERFORMANCE OF THE TOFU INDUSTRY IN BANDA ACEH." Interdisciplinary Social Studies 1, no. 5 (2022): 543–54. http://dx.doi.org/10.55324/iss.v1i5.123.

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Background: At this time the food industry sector is growing very rapidly and increasing fierce competition among business people such as the tofu industry in Banda Aceh City. This encourages the importance of the application of SCP in describing the overall state of the market both the structure, behavior, and performance resulting from industry. Aim: This research aims to describe the structure, behavior, and performance of the industry as well as the influence of these three dimensions on the tofu industry in Banda Aceh City. Method: This study uses a quantitative approach and uses a census method where the population is all tofu producers registered with the Banda Aceh City Labor Office in the industrial section of 2019-2020 which amounted to 13 industries. CR4 and IHI analysis is used to measure structure, CLR analysis is applied to measure behavior, and PCM is used to improve the performance of the tofu industry in Banda Aceh City. The effect test on 3 dimensions is measured using Path Analysis. Findings: Found CR4 values 36.43 percent, IHI 729.99 points, CLR 11.06 percent, and PCM 12.08 percent. As well as found the relationship of variable MS to PCM positive and significant, clr relationship to positive PCM is not significant and the relationship of MS to PCM through positive CLR is not significant.
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49

Deng, Xi, Ping Gao, and Jia Chen. "Study on the Management Performance Evaluation Model of Water Conservancy Agent Construction Project Based on Maturity and SCP Model." Applied Mechanics and Materials 584-586 (July 2014): 2282–85. http://dx.doi.org/10.4028/www.scientific.net/amm.584-586.2282.

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During the next National Twelfth Five-Year Plan period, more and more water conservancy projects will be used agent construction mode in our country. The research of the management performance evaluation model for water conservancy is significant in improving the agent construction system both in theory and in practice. Considering the characteristics of the water conservancy project, a conceptual model of management performance is established, including agent construction structure and agent construction conduct. And a three-dimensional management performance evaluation model of water conservancy agent construction project is constructed based on the SCP (Structure-Conduct-Performance) analysis paradigm. Through literature review and questionnaire survey, this paper further refined evaluation dimension. Finally, a comprehensive and practical performance evaluation index system which consists of the 13 first-class, 39 second-class indexes is established. Thus, lay solid foundation for the performance evaluation and performance improvement.
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50

Awdeh, Ali, Chawki El Moussawi, and Hassan Hamadi. "Market Structure and Bank Conduct in the MENA Region." Review of Middle East Economics and Finance 17, no. 2 (2021): 97–110. http://dx.doi.org/10.1515/rmeef-2020-0032.

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Abstract The Middle East North Africa (MENA) region is witnessing a wave of bank consolidations, with many mega-mergers taking place in the Gulf Cooperation Council (GCC) countries. These will result in creating large banks, reducing the number of market players and increasing market concentration; which is already high. A further increase in concentration may raise concerns about the resulting dominance of large banks and the consequences on their pricing behaviour. The interrelationships between market structure and pricing behaviour is summarised by the popular model of industrial economics called the structure–conduct–performance (SCP) model. Consequently, we test the prevalence of this model in a sample of 15 MENA banking sectors to detect the possible existence of an impact running particularly from the structure of banking markets to the pricing behaviour (power) of banks in order to predict a possible emergence of oligopolistic behaviour following bank consolidations. Using a two-stage least squares model, we found a positive and significant impact of market concentration on bank pricing, suggesting that an further increase in MENA banking markets’ concentration may boost banks pricing power and persuade them to increase their returns at the expense of their customers.
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