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Retrieved on: 2024-05-02 13:42:53
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Summary
The article discusses Indonesia's banking sector, underlining the importance of liquidity and financial instrument diversification to mitigate systemic risk. It contrasts Indonesian bank indicators with those in California and Europe, highlighting robust Indonesian capital ratios post-US and European banking crises. The tags indicate a focus on banking, systemic risk, and economic history in different regions.
Article found on: voi.id
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