Managing foreign exchange risk the Malaysian experience in the 1997 financial crisis

This paper gives an overview of some important factors that cause exchange-rate volatility and the key economic indicators that influence the probability of a crisis and its depth. It examines the Malaysian currency peg that has been in place since September 1998, using selected key economic indicat...

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Bibliographic Details
Published in:The Philippine Review of Economics Vol. XLIV, No. 1 (June 2007), p. [187]-216.
Main Authors: Lim, Chong Foo (Author), Meera, Ahamed Kameel Mydin (Author)
Format: Analytics
Language:English
Published: 2007.
Subjects:
Online Access:https://forms.gle/KZjBv7aRtY6jiL5E9