Macroeconomic Uncertainty in South East Asia: A Comparative Study between Malaysia and Indonesia

Y. Chow, J. Muhammad, Bany Ariffin Amin Noordin, F. Cheng
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引用次数: 2

Abstract

This paper examines the historical pattern of macroeconomic uncertainty of two developing countries in the South East Asia, namely Malaysia and Indonesia. Comparisons of macroeconomic uncertainty are also made between both countries using a selected number of indicators for macroeconomic volatility. We find that while both countries were affected by similar external sources of macroeconomic uncertainty, these countries were also subject to domestic sources of macroeconomic uncertainty which were confined to the particular country. The analyses also reveal that Indonesia experienced more fluctuations compared to Malaysia when macroeconomic uncertainty is measured by volatility as a macroeconomic outcome and domestic sources of macroeconomic volatility. Contrarily, Malaysia displayed greater fluctuations than Indonesia when macroeconomic uncertainty is measured by external sources of macroeconomic volatility. Policy implications are drawn from the findings.
东南亚宏观经济的不确定性:马来西亚与印尼的比较研究
本文考察了东南亚两个发展中国家,即马来西亚和印度尼西亚的宏观经济不确定性的历史模式。本文还使用一些宏观经济波动指标对两国的宏观经济不确定性进行了比较。我们发现,虽然这两个国家都受到类似的外部宏观经济不确定性来源的影响,但这些国家也受到限于特定国家的国内宏观经济不确定性来源的影响。分析还表明,当宏观经济不确定性以作为宏观经济结果的波动率和宏观经济波动的国内来源来衡量时,印度尼西亚比马来西亚经历了更多的波动。相反,当以宏观经济波动的外部来源衡量宏观经济不确定性时,马来西亚的波动比印度尼西亚更大。从调查结果中得出了政策含义。
本文章由计算机程序翻译,如有差异,请以英文原文为准。
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