Analisis Komponen Kebijakan Makroprudensial Bank Indonesia untuk Mengendalikan Volatilitas Nilai Tukar, Likuiditas, dan Total Kredit Perbankan, 2004.1-2012.12

Bank Indonesia has been actively implementing various kinds of components of macroprudential policy to maintain financial system stability in addition to implementing various monetary policy. However, this policy is a new policy and needs further research in analyzing the components of the policy. T...

وصف كامل

محفوظ في:
التفاصيل البيبلوغرافية
المؤلفون الرئيسيون: , M. ABD. NASIR, , Dr. Muhammad Edhie Purnawan, MA.
التنسيق: Theses and Dissertations NonPeerReviewed
منشور في: [Yogyakarta] : Universitas Gadjah Mada 2014
الموضوعات:
ETD
الوصول للمادة أونلاين:https://repository.ugm.ac.id/133693/
http://etd.ugm.ac.id/index.php?mod=penelitian_detail&sub=PenelitianDetail&act=view&typ=html&buku_id=74466
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spelling id-ugm-repo.1336932016-03-04T07:58:31Z https://repository.ugm.ac.id/133693/ Analisis Komponen Kebijakan Makroprudensial Bank Indonesia untuk Mengendalikan Volatilitas Nilai Tukar, Likuiditas, dan Total Kredit Perbankan, 2004.1-2012.12 , M. ABD. NASIR , Dr. Muhammad Edhie Purnawan, MA. ETD Bank Indonesia has been actively implementing various kinds of components of macroprudential policy to maintain financial system stability in addition to implementing various monetary policy. However, this policy is a new policy and needs further research in analyzing the components of the policy. This study uses time series and panel data with the components macroprudential policy, such as month holding period, net open position, reserve requirement and reserve requirement + loan to deposit ratio. The data used are monthly data covering the period 2004.1- 2012.12. While the cross section data use 5 different types of banks [Yogyakarta] : Universitas Gadjah Mada 2014 Thesis NonPeerReviewed , M. ABD. NASIR and , Dr. Muhammad Edhie Purnawan, MA. (2014) Analisis Komponen Kebijakan Makroprudensial Bank Indonesia untuk Mengendalikan Volatilitas Nilai Tukar, Likuiditas, dan Total Kredit Perbankan, 2004.1-2012.12. UNSPECIFIED thesis, UNSPECIFIED. http://etd.ugm.ac.id/index.php?mod=penelitian_detail&sub=PenelitianDetail&act=view&typ=html&buku_id=74466
institution Universitas Gadjah Mada
building UGM Library
country Indonesia
collection Repository Civitas UGM
topic ETD
spellingShingle ETD
, M. ABD. NASIR
, Dr. Muhammad Edhie Purnawan, MA.
Analisis Komponen Kebijakan Makroprudensial Bank Indonesia untuk Mengendalikan Volatilitas Nilai Tukar, Likuiditas, dan Total Kredit Perbankan, 2004.1-2012.12
description Bank Indonesia has been actively implementing various kinds of components of macroprudential policy to maintain financial system stability in addition to implementing various monetary policy. However, this policy is a new policy and needs further research in analyzing the components of the policy. This study uses time series and panel data with the components macroprudential policy, such as month holding period, net open position, reserve requirement and reserve requirement + loan to deposit ratio. The data used are monthly data covering the period 2004.1- 2012.12. While the cross section data use 5 different types of banks
format Theses and Dissertations
NonPeerReviewed
author , M. ABD. NASIR
, Dr. Muhammad Edhie Purnawan, MA.
author_facet , M. ABD. NASIR
, Dr. Muhammad Edhie Purnawan, MA.
author_sort , M. ABD. NASIR
title Analisis Komponen Kebijakan Makroprudensial Bank Indonesia untuk Mengendalikan Volatilitas Nilai Tukar, Likuiditas, dan Total Kredit Perbankan, 2004.1-2012.12
title_short Analisis Komponen Kebijakan Makroprudensial Bank Indonesia untuk Mengendalikan Volatilitas Nilai Tukar, Likuiditas, dan Total Kredit Perbankan, 2004.1-2012.12
title_full Analisis Komponen Kebijakan Makroprudensial Bank Indonesia untuk Mengendalikan Volatilitas Nilai Tukar, Likuiditas, dan Total Kredit Perbankan, 2004.1-2012.12
title_fullStr Analisis Komponen Kebijakan Makroprudensial Bank Indonesia untuk Mengendalikan Volatilitas Nilai Tukar, Likuiditas, dan Total Kredit Perbankan, 2004.1-2012.12
title_full_unstemmed Analisis Komponen Kebijakan Makroprudensial Bank Indonesia untuk Mengendalikan Volatilitas Nilai Tukar, Likuiditas, dan Total Kredit Perbankan, 2004.1-2012.12
title_sort analisis komponen kebijakan makroprudensial bank indonesia untuk mengendalikan volatilitas nilai tukar, likuiditas, dan total kredit perbankan, 2004.1-2012.12
publisher [Yogyakarta] : Universitas Gadjah Mada
publishDate 2014
url https://repository.ugm.ac.id/133693/
http://etd.ugm.ac.id/index.php?mod=penelitian_detail&sub=PenelitianDetail&act=view&typ=html&buku_id=74466
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