Financial System Vulnerability Indicators in Indonesia
<p>The objective of this research is to analyze the indicators that cause vulnerability to financial system stability in Indonesia. The data used in this research is secondary data monthly with a range of 2006.1 to 2015.6. The method were used in this study Markov Switching Vector Autoregressi...
Main Authors: | , , , |
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Format: | Article |
Language: | English |
Published: |
EconJournals
2017-10-01
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Series: | International Journal of Economics and Financial Issues |
Online Access: | https://www.econjournals.com/index.php/ijefi/article/view/5393 |