Anda belum login :: 12 Jul 2025 13:03 WIB
Home
|
Logon
Hidden
»
Administration
»
Collection Detail
Detail
Krisis Moneter dan Reformasi Sektor Finansial
Oleh:
Zain, Winarno
Jenis:
Article from Bulletin/Magazine
Dalam koleksi:
Bisnis dan ekonomi politik vol. 2 no. 1 (1998)
,
page 7-20.
Topik:
KRISIS MONETER
;
krisis moneter
;
reformasi sektor finansial
Ketersediaan
Perpustakaan Pusat (Semanggi)
Nomor Panggil:
BB52.2
Non-tandon:
1 (dapat dipinjam: 0)
Tandon:
tidak ada
Lihat Detail Induk
Isi artikel
This article exmaines the current monetary and economic crises in indonesia and offer strategies to implement economic reforms in finance and banking sectors. Weak and unhealthy performance of indonesian banking sector significantly affect the financing mechanism of economic activities. As a consequence, most economic (real) sectors which have a high dependency on the banking sector - significantly decrease its activities and some companies even cease to operate. This then affect the employment rate, decrease labor income and welfare. The weakness of banking sector is also a function of bad management control by the central bank or the bank of indonesia (BI). Another factor that also influence the weak performance is corruption and collusion between the bank owner and officials of the bank indonesia. Therefore, the reform in finance and banking sectors should strengthen and improve the performance of banking system so that it will resotre the investor's confidence. Because of the current crisies, the reform is more difficult than anyone could expect. However, the replacement of some directors and high - ranking officials in the bank of indonesia should be used as a momentum to reinstate the integrity within the central bank and to restore confidence from the society to the institution.
Opini Anda
Klik untuk menuliskan opini Anda tentang koleksi ini!
Kembali
Process time: 0.015625 second(s)