PENGARUH EKONOMI MAKRO TERHADAP RISIKO SEKTORAL DI INDONESIA
The disintermediation of Indonesian banking is probably due to the high level of the real sector risk. This paper analyzes the profile and the dynamics of this sectoral risk established from the median of individual firm's default risks. We measure the firm's default risk with the KMV’s Ex...
Main Authors: | , |
---|---|
Format: | Article |
Language: | Indonesian |
Published: |
Bank Indonesia
2007-10-01
|
Series: | Bulletin Ekonomi Moneter dan Perbankan |
Online Access: | https://www.bmeb-bi.org/index.php/BEMP/article/view/220 |