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Indonesia, 2010 Article IV Consultation - Staff Report; Staff Statement; Public Information Notice on the Executive Board Discussion; and Statement by the Executive Director for Indonesia, International Monetary Fund

Label
Indonesia, 2010 Article IV Consultation - Staff Report; Staff Statement; Public Information Notice on the Executive Board Discussion; and Statement by the Executive Director for Indonesia, International Monetary Fund
Language
eng
Abstract
Indonesia’s growth in 2009 was four and a half percent, the third highest in the G-20 group of countries; and the pace is accelerating in 2010. Both push and pull factors have attracted large portfolio inflows, particularly into government bonds and Short-term Bank Indonesia certificates (SBIs). The financial and corporate sectors were resilient to the crisis. They welcomed the steps being taken by the authorities to further strengthen the resilience of the financial sector in line with the recommendations of the recent Financial Sector Assessment Program (FSAP)
Illustrations
illustrations
Index
no index present
Literary Form
non fiction
Main title
Indonesia
Nature of contents
dictionaries
Oclc number
870597537
Responsibility statement
International Monetary Fund
Series statement
IMF Staff Country Reports, Number 10/284
Sub title
2010 Article IV Consultation - Staff Report; Staff Statement; Public Information Notice on the Executive Board Discussion; and Statement by the Executive Director for Indonesia
Table Of Contents
Cover; Contents; Executive Summary; I. Context; II. Economic Developments; III. Macroeconomic Outlook and Risks; IV. Main Policy Discussions; A. Managing Volatile Capital Flows; Boxes; 1. Exchange Rate Assessment; B. Monetary Policy: Managing Inflation Expectations; C. FSAP and Financial Sector Stability; 2. Banking Sector Stress Test Results; D. Fiscal Policy: Supporting Sustained Growth; 3. Administered Price Adjustments and Inflation Volatility; V. Staff Appraisal; Figures; 1. Macroeconomic Developments and Outlook; 2. Business Activity Indicators; 3. Inflation and Monetary Developments4. Financial Market Performance5. Banking Sector Indicators; 6. Corporate Sector Indicators; Tables; 1. Selected Economic Indicators, 2007-11; 2. Balance of Payments, 2006-11; 3. Monetary Survey, 2005-09; 4. Summary of Central Government Operations, 2006-11; 5. Selected Vulnerability Indicators, 2005-10; 6. Medium-Term Macroeconomic Framework, 2008-15; Appendices; 1. Capital Inflows and Policy Response; 2. Public and External Debt Sustainability in the Baseline Scenario; Contents; I. Fund Relations; II. Relations with the World Bank Group; III. Relations with the Asian Development BankIV. Statistical Issues
Classification
Content
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