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Image of STUDI KOMPARATIF DAMPAK KEBIJAKAN MAKROPRUDENSIAL LTV NO.23/2/PBI/2021 DALAM MITIGASI RISIKO SISTEMIK COVID-19 PADA MASA SEBELUM DAN SELAMA KEBIJAKAN : REAL SECTOR DAN MARKET CONFIDENCE.

Skripsi

STUDI KOMPARATIF DAMPAK KEBIJAKAN MAKROPRUDENSIAL LTV NO.23/2/PBI/2021 DALAM MITIGASI RISIKO SISTEMIK COVID-19 PADA MASA SEBELUM DAN SELAMA KEBIJAKAN : REAL SECTOR DAN MARKET CONFIDENCE.

Juniansyah, Rahmat - Personal Name;

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Penilaian anda saat ini :  

Penelitian ini bertujuan untuk mengetahui bagaimana dampak kebijakan makroprudensial LTV No.3/2/PBI/2021 secara real sector dan market convidence pada saat sebelum dan selama berlakunya kebijakan. Penelitian ini menggunakan data kuantitatif dengan studi komparatif yang diwakilkan oleh variabel Indeks Harga Konsumen (IHK), Indeks Harga Perdagangan Besar (IHPB), Indeks Kepercayaan Konsumen (IKK) dan Indeks Harga Saham Gabungan (IHSG). Pengujian dilakukan dengan paired sample T test, Wilcoxon Signed Rank-Test, Pearson dan Spearman’s rank correlation test. Hasilnya kebijakan makroprudensial LTV No.3/2/PBI/2021 memiliki pengaruh signifikan dalam upaya mitigasi risiko sistemik. Serta korelasi positif sangat kuat di variabel real sector dan positif kuat di variabel market confidence. Bank Indonesia dan pemerintah dalam kebijakannya kedepan diharapkan bisa mempertahankan nilai IHSG di angka 6,522 dan meningkatkan nilai IHPB sampai di angka 150,00 melalui beberapa program


Availability
Inventory Code Barcode Call Number Location Status
2207000596T66782T667822022Central Library (Referens)Available
Detail Information
Series Title
-
Call Number
T667822022
Publisher
: Prodi Ekonomi Pembangunan, Fakultas Ekonomi.,
Collation
xvi, 62 hlm.; ilus.; 29 cm
Language
Indonesia
ISBN/ISSN
-
Classification
332.460 7
Content Type
Text
Media Type
-
Carrier Type
-
Edition
-
Subject(s)
Prodi Ekonomi Pembangunan
Specific Detail Info
-
Statement of Responsibility
MURZ
Other version/related

No other version available

File Attachment
  • STUDI KOMPARATIF DAMPAK KEBIJAKAN MAKROPRUDENSIAL LTV NO.23/2/PBI/2021 DALAM MITIGASI RISIKO SISTEMIK COVID-19 PADA MASA SEBELUM DAN SELAMA KEBIJAKAN : REAL SECTOR DAN MARKET CONFIDENCE.
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