Mansur, Alfan (2014): The Impacts of the United States Fiscal Deficit Reduction to the World Economy.
Mansur, Alfan and Liu, Yichang and Zaman, Kazi Arif Uz (2015): Portfolio Shocks and the Dynamics of the Real Economy of Australia (1980-2014): A Structural Vector Autoregressive Model Approach.
Mansur, Alfan (2015): Identifying Shocks on the Economic Fluctuations in Indonesia and US: The Role of Oil Price Shocks in a Structural Vector Autoregression Model.
Mansur, Alfan (2016): Harga Minyak Merosot: Negara Untung Atau Rugi. Published in: Warta Fiskal , Vol. -, No. 1 (March 2016): pp. 13-16.
Mansur, Alfan (2016): Kebijakan Moneter dan Volatilitas Pasar Keuangan. Published in: Buku Akselerasi dan Inklusivitas Sektor Keuangan : Jalan Menuju Kesejahteraan Rakyat , Vol. 1, No. 1 (4 November 2016): pp. 73-91.
Mansur, Alfan and Syaifullah, Syaifullah (2016): Membangun Kredibilitas Kebijakan Moneter Melalui Suku Bunga Acuan Baru. Published in: Buku Akselerasi dan Inklusivitas Sektor Keuangan : Jalan Menuju Kesejahteraan Rakyat , Vol. -, No. - (November 2016): pp. 93-119.
Mansur, Alfan (2016): The Impact of a Loss of Confidence in Emerging Market Economies to the World Economy: A Simulation with the G-Cubed Model. Published in: Kajian Ekonomi dan Keuangan , Vol. 1, No. 3 (26 January 2018): pp. 143-164.
Mansur, Alfan and Al Arif, Munafsin (2017): Dampak Kepemilikan Asing terhadap Pasar Surat Berharga Negara (SBN) Indonesia. Published in: Buku Penguatan Fundamental Sektor Keuangan Dalam Mendukung Stabilitas Perekonomian , Vol. -, No. - (June 2017): pp. 117-139.
Mansur, Alfan (2017): Memantau Risiko Makro Finansial di dalam Perekonomian Indonesia. Published in: Kajian Ekonomi dan Keuangan , Vol. 2, No. 2 (31 August 2018): pp. 120-148.
Mansur, Alfan (2017): 10 Tahun Pasca Krisis Keuangan Global, Dimana Posisi Indonesia Sekarang? Published in: Warta Fiskal , Vol. -, No. 5 (December 2017): pp. 26-31.
Mansur, Alfan (2018): Measuring Systemic Risk on Indonesia’s Banking System. Published in: Kajian Ekonomi dan Keuangan , Vol. 2, No. 2 (4 June 2018): pp. 94-105.
Mansur, Alfan (2019): Sharia Banking Dynamics and the Macroeconomic Responses: Evidence from Indonesia. Published in: Jurnal Ekonomi Malaysia , Vol. 2, No. 53 (31 October 2019): pp. 1-15.
Mansur, Alfan and Nizar, Muhammad Afdi (2019): Mengukur Perkembangan Sektor Keuangan di Indonesia dan Faktor – Faktor yang Mempengaruhi.
Nizar, Muhammad Afdi and Mansur, Alfan (2019): Premi Penjaminan Simpanan Berbasis Risiko: Studi Kasus LPS Indonesia.
Mansur, Alfan (2020): Shocks and Frictions in US Business Cycle: A Bayesian DSGE Approach.
Mansur, Alfan and Nizar, Muhammad Afdi (2020): Menilik Perkembangan Sektor Keuangan Indonesia di Tengah Pandemi. Published in: Seri Analisis Kebijakan Sektor Keuangan : Cara Indonesia Menangani Pandemi Covid-19 dan Dampaknya terhadap Perekonomian (December 2020): pp. 55-80.
Nizar, Muhammad Afdi and Mansur, Alfan (2021): Can the Indonesian banking industry benefit from a risk-based deposit insurance system? Published in: Macroeconomics and Finance in Emerging Market Economies (May 2021): pp. 1-20.
Mansur, Alfan and Nizar, Muhammad Afdi (2023): Supply-leading or demand-following financial sector and economic development nexus: evidence from data-rich Indonesia.
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