印度尼西亚 COVID-19 后经济复苏对通胀波动管理的影响分析

Sartika Apri Yanti, Bachtiar Efendi, Rusiadi, Wahyu Indah Sari
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引用次数: 0

摘要

本研究旨在发现、解释和检验印度尼西亚通货膨胀波动管理的后 COVID-19 经济复苏分析。本研究采用定量方法,通过分析和假设检验过程收集陈述,采用描述性和验证性方法。所使用的数据为二手数据,即来自 Ceic Data、Trading Economics 和印度尼西亚银行 2019-2023 年的数据。本研究的数据分析方法采用差异检验,该模型用于分析前后研究模型。研究结果表明,在 COVID-19 和后 COVID-19 期间,通货膨胀率和汇率存在显著差异。COVID-19 后的经济复苏政策,如财政刺激和量化宽松政策,能够降低通货膨胀率并稳定汇率。中央、地区和货币当局之间需要协调,以维持大流行病后的宏观经济稳定。本研究的结论是,尽管需要定期评估和完善政策,但 "19 世纪印尼禽流感 "后的经济复苏政策成功地控制了印尼的通货膨胀和汇率。
本文章由计算机程序翻译,如有差异,请以英文原文为准。
Analysis of post COVID-19 economic recovery on inflation fluctuation management in Indonesia
This research aims to find out, explain and test the Post-COVID-19 Economic Recovery Analysis of Inflation Fluctuation Management in Indonesia. This research uses quantitative methods with a descriptive and verification approach by collecting presentations through a process of analysis and hypothesis testing. The data used is secondary data, namely from Ceic Data, Trading Economics and Bank Indonesia for 2019-2023. The data analysis method in this research uses a difference test where this model is used to analyze pre-post or before and after research models. The research results show that there are significant differences in inflation and exchange rates during COVID-19 and post-COVID-19. Post-COVID-19 economic recovery policies such as fiscal stimulus and quantitative easing were able to reduce inflation and stabilize the exchange rate. Coordination is needed between the central, regional and monetary authorities to maintain macroeconomic stability after the pandemic. This research concludes that the post-COVID-19 economic recovery policy has succeeded in controlling inflation and the exchange rate in Indonesia, although regular evaluation and refinement of policies is required.
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