1. Central Bank Digital Currency: What Factors Determine Its Adoption?
2. A Note On Public Debt-Private Investment Nexus In Emerging Economies
3. Time And Frequency Dependency Of Foreign Exchange Rates And Country Risk: Evidence From Turkey
4. Finance And Endogenous Growth
5. Credit Risk Amid Banking Uncertainty In Vietnam
6. Fiscal And Monetary Policy Interactions In Indonesia During Periods Of Economic Turmoil In The Us: 2001q1-2014q4
7. Threshold Effect In The Relationship Between Inflation Rate And Economic Growth In Indonesia
Call Number
J 330.05 BUL Vo.25 No.1
Edition
Vol. 25 No.1 2022
ISBN/ISSN
14108046
Collation
-
Series Title
1. Central Bank Digital Currency: What Factors Determine Its Adoption?
2. A Note On Public Debt-Private Investment Nexus In Emerging Economies
3. Time And Frequency Dependency Of Foreign Exchange Rates And Country Risk: Evidence From Turkey
4. Finance And Endogenous Growth
5. Credit Risk Amid Banking Uncertainty In Vietnam
6. Fiscal And Monetary Policy Interactions In Indonesia During Periods Of Economic Turmoil In The Us: 2001q1-2014q4
7. Threshold Effect In The Relationship Between Inflation Rate And Economic Growth In Indonesia
1. The Impact Of Domestic Investors’ Participation In Government Debt On Bank Loans To The Private Sector: A Cross-Country Study
2. Nowcasting Regional Economic Growth In Indonesia
3. Indonesia’s Financial Stress Events And Macroeconomic Dynamics
4. Asymmetric Impacts Of Monetary Policy Shock On Output Gap: Evidence From Regions In Indonesia
5. Pandemic Shocks And Macro-Financial Policy Responses: An Estimated Dsge-Var Model For Indonesia
6. The Systemic Risk In The Gulf Cooperation Council Countries’ Equity Markets And Banking Sectors: A Dynamic Covar Approach
7. From School To Work: Does Vocational Education Improve Labour Market Outcomes? An Empirical Analysis Of Indonesia
Call Number
J 330.05 BUL Vo.25 No.3
Edition
Vol.25 No.3 2022
ISBN/ISSN
14108046
Collation
-
Series Title
1. The Impact Of Domestic Investors’ Participation In Government Debt On Bank Loans To The Private Sector: A Cross-Country Study
2. Nowcasting Regional Economic Growth In Indonesia
3. Indonesia’s Financial Stress Events And Macroeconomic Dynamics
4. Asymmetric Impacts Of Monetary Policy Shock On Output Gap: Evidence From Regions In Indonesia
5. Pandemic Shocks And Macro-Financial Policy Responses: An Estimated Dsge-Var Model For Indonesia
6. The Systemic Risk In The Gulf Cooperation Council Countries’ Equity Markets And Banking Sectors: A Dynamic Covar Approach
7. From School To Work: Does Vocational Education Improve Labour Market Outcomes? An Empirical Analysis Of Indonesia