Abstract
This chapter provides an econometric framework for the Indonesian economy for the period of 1969–1980. A major characteristic of the model lies in the attempt to integrate real and monetary sectors’ models and investigate the interactions between real and monetary phenomena in the recent Indonesian economy. The model for real sector is mainly based on national income accounting with some sectoral disaggregation. On the other hand, the model for monetary sector depends exclusively on the balance sheets of the monetary authorities and the deposit money banks as well as on their consolidation for the monetary system.
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© 1985 Springer-Verlag Tokyo
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Kobayashi, K., Tampubolon, H., Ezaki, M. (1985). Indonesia Model. In: Ichimura, S., Ezaki, M. (eds) Econometric Models of Asian Link. Springer, Tokyo. https://doi.org/10.1007/978-4-431-68028-4_9
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DOI: https://doi.org/10.1007/978-4-431-68028-4_9
Publisher Name: Springer, Tokyo
Print ISBN: 978-4-431-70007-4
Online ISBN: 978-4-431-68028-4
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