Hubungan Antara Perkembangan Sektor Keuangan dengan Volatilitas Ekonomi di Indonesia
The study is conducted to analyze the causal relationship between financial sector development and economic volatility in Indonesia during the period of 1983.2-2000.4.The study uses three kinds of variables as proxies to the financial sector development.Whereas in order to measure economic volatility, the study uses standard deviation of GDP Storag