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