经济地位在理解印尼经济和疫情影响中的作用

Kiki Verico
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引用次数: 0

摘要

在2020年全球大流行打击经济之前,印度尼西亚在1963年和1998年经历了两次经济收缩。这些收缩伴随着恶性通胀,而最近的2020年收缩却没有。本文试图分析2020年C-19大流行对经济的影响,这种影响会产生收缩,但通货膨胀率较低。相反,1998年亚洲金融危机(AFC)导致经济负增长和通货膨胀飙升。本文运用描述性数据分析表明,疫情影响总供给,疫情影响总需求。本文提出使用通货膨胀率和经济增长率的比例以及年度部门增长率的比较来描述印度尼西亚的经济地位和流行病的影响。
本文章由计算机程序翻译,如有差异,请以英文原文为准。
The Usage of Economic Position in Understanding Indonesia’s Economy and the Pandemic Effects
Before the global pandemic hit the economy in 2020, Indonesia had experienced two contractions in 1963 and 1998. These contractions come with hyperinflation, while the recent contraction of 2020 has not. This paper attempts to analyse the C-19 pandemic 2020 effects on the economy, which generates contraction but has a low inflation rate. On the opposite, the Asian Financial Crises (AFC) of 1998 caused negative economic growth andskyrocketing inflation. This paper applied descriptive data analysis and showed that the AFC affected the aggregate supply while the pandemic impacted the aggregate demand. This paper offers the usage of the proportion of inflation rate and economic growth rate and the annual sectoral growth rate comparison to describe Indonesia’s economic position and the pandemic effects.
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