Financial Fragility and Instability in Indonesia

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This highly relevant study provides an incisive analysis of a critical phase in recent East Asian financial history, exploring the underlying causes of the financial crisis that struck Indonesia during the second half of 1997. Matsumoto's extensive commercial experience in Indonesian finance during these critical years, allows him to skilfully argue that the roots of the crisis lay in the period of capital liberalization undertaken during the boom years from 1994 to 1997 which encouraged the development of fragile and ...

Financial Fragility and Instability in Indonesia 2010, Routledge, London

ISBN-13: 9780415590464

Paperback

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Financial Fragility and Instability in Indonesia 2006, Routledge

ISBN-13: 9780415399043

Annotated

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