The Indonesian financial crisis : from banking crisis to financial sector reforms, 1997-2000

Document Type

Journal article

Source Publication

Indonesia

Publication Date

4-1-2001

Issue

71

First Page

79

Last Page

110

Abstract

Sharma argues that a more nuanced understanding of Indonesia's economic crisis can be gained by differentiating between the "sources of vulnerability" and the "precipitating" factors. A careful review of the events leading to the crisis shows that both these factors converged during the critical period between late Aug 1997 and Mar 1998.

Print ISSN

00197289

E-ISSN

21648654

Publisher Statement

Copyright © 2001 Southeast Asia Program Publications at Cornell University

Access to external full text or publisher's version may require subscription.

Full-text Version

Publisher’s Version

Language

English

Recommended Citation

Sharma, S. D. (2001). The Indonesian financial crisis: From banking crisis to financial sector reforms, 1997-2000. Indonesia, (71), 79-110.

Share

COinS