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机构地区:[1]中国人民银行南宁中心支行,广西南宁530021 [2]广西大学,广西南宁530004
出 处:《区域金融研究》2009年第12期44-49,共6页Journal of Regional Financial Research
摘 要:随着国内外经济条件的不断变化,作为东盟最大成员国的印度尼西亚的汇率制度也在不断调整。从金融危机前的实际钉住美元制到金融危机时期的独立浮动汇率制,再从独立浮动汇率制变迁到管理浮动制,对印度尼西亚的经济产生了不同程度的影响。本文对1997年东南亚金融危机以来的印度尼西亚汇率制度变迁进行回顾,总结影响该国汇率制度选择的主要因素,并就汇率制度变迁对经济的影响作出分析。With the changing of domestic and overseas economic conditions, as the largest member of ASEAN, Indonesia is also constantly adjust the exchange rate regime. From the actual dollar peg regime before the east Asian financial crisis to an independent floating exchange rate regime during the crisis, and then changes to a managed floating exchange rate regime, it resuhed varies degrees affect to Indonesia economy. In this paper, it has a review of exchange rate regime transition of Indonesia since the financial crisis in 1997, and sums up the main factors that affect the choice of the country' s exchange rate regime, then analyzes how the exchange rate regime transition impact on the economy.
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