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Vulnerability Analysis of Macroeconomic Indicators for Early Detection of Currency Crisis: Case Study of Indonesian Economy on 1991–2019

Author

Listed:
  • Hadi Sutrisno

    (Faculty of Economics, Darul ‘Ulum University, Jombang, Indonesia)

  • Dyah Wulan Sari

    (#x2020;Faculty of Economics and Business, Airlangga University, Surabaya, Indonesia)

  • Rossanto Dwi Handoyo

    (#x2020;Faculty of Economics and Business, Airlangga University, Surabaya, Indonesia)

Abstract

The purpose of this study is to detect the currency crisis in Indonesia by exploring the vulnerability of macroeconomic variables. The Exchange Market Pressure Index was used to determine the crisis period by modeling the threshold value. Early indicators were determined using the signal analysis approach; therefore, the vulnerability level of each macroeconomic variable is known and used to determine the leading indicators. The result showed that the Signal Analysis and Herrera–Garcia approaches are the best detection models. Furthermore, it was concluded that the Signal Analysis approach was better in detecting crises compared to the Herrera–Garcia approach.

Suggested Citation

  • Hadi Sutrisno & Dyah Wulan Sari & Rossanto Dwi Handoyo, 2021. "Vulnerability Analysis of Macroeconomic Indicators for Early Detection of Currency Crisis: Case Study of Indonesian Economy on 1991–2019," Journal of International Commerce, Economics and Policy (JICEP), World Scientific Publishing Co. Pte. Ltd., vol. 12(02), pages 1-25, June.
  • Handle: RePEc:wsi:jicepx:v:12:y:2021:i:02:n:s179399332150006x
    DOI: 10.1142/S179399332150006X
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