Hubungan Kausalitas antara Perkembangan Sektor Keuangan Dengan Volatilitas Ekonomi: Kasus Indonesia, 1990.1 - 2004.2

ABSTRACT This study investigates the causality relations between financial development and macroeconomic volatility in Indonesia. Besides we try to identify whether the development of both sectors can reduce the existence of macroeconomic volatility. Using the methodology of Granger causality and To...

全面介紹

Saved in:
書目詳細資料
主要作者: Perpustakaan UGM, i-lib
格式: Article NonPeerReviewed
出版: [Yogyakarta] : Universitas Gadjah Mada 2006
主題:
在線閱讀:https://repository.ugm.ac.id/24196/
http://i-lib.ugm.ac.id/jurnal/download.php?dataId=7167
標簽: 添加標簽
沒有標簽, 成為第一個標記此記錄!

相似書籍