TINJAUAN LITERATUR TENTANG SISTEM EKONOMI DAN DAMPAKNYA TERHADAP STABILITAS KEUANGAN: FOKUS PADA INFLASI DAN HUTANG

Authors

  • Affandy Agusman Aris Stie Wirabhakti Makassar
  • Loso Judijanto IPOSS Jakarta
  • Darmun Universitas Nahdlatul Ulama Cirebon
  • Triani patra pertiwi Universitas Nahdlatul Ulama Cirebon
  • Muhammad Hendra Universitas Sumatera Barat

Keywords:

Economic System, Financial Stability, Inflation, Debt

Abstract

This study aims to explore how the economic system, through the mechanisms of inflation and debt, can impact financial stability, focusing on the interaction between inflation, debt, and financial stability. This research is a literature review concentrating on both theoretical and empirical analyses of the relationship between the economic system, specifically inflation and debt factors, and financial stability. The results show that financial stability is a condition where the financial system including institutions, markets, and infrastructure functions optimally and can absorb economic shocks without significantly disrupting economic activity. This stability supports efficient resource allocation, economic growth, and investor confidence, with the capacity to manage risks effectively. However, financial stability can be disrupted by uncontrolled inflation, excessive debt, and imbalances in the economic system. High inflation can erode purchasing power and increase borrowing costs, while excessive debt raises the risk of default and slows economic growth. The interaction between inflation and debt complicates financial stability, as high inflation may reduce the real value of debt but also increase borrowing costs. Global financial crises, such as the 2007-2008 Financial Crisis, the European Debt Crisis, and the 2021-2023 Energy Crisis, underscore the need for effective policies in managing inflation and debt to maintain financial stability and support sustainable economic growth.

References

Ardana. (2023). Perekonomian Indonesia. In Penerbit NEM.

Awanti, E. (2017). ANALISIS PENGARUH INKLUSI KEUANGAN TERHADAP STABILITAS SISTEM KEUANGAN DI NEGARA BERKEMBANG KAWASAN ASIA TENGGARA. Economics Journal of Airlangga University, 5(1).

Hasyim. (2017). Ekonomi makro. In Prenada Media.

Hidayat. (2024). Buku Ajar Ekonomi Moneter Internasional. In PT. Sonpedia Publishing Indonesia.

Hutagaol, Y. R. T. (2023). STRATEGI PENGUATAN KEUANGAN NEGARA DALAM MENGHADAPI ANCAMAN RESESI GLOBAL 2023 MELALUI GREEN ECONOMY. Jurnal Pajak Dan Keuangan Negara, 5(1), 378–385.

Izatunisa, A. N., Syaputri, W., Nasution, D., Ekonomi, F., Bisnis, D., Islam, U., & Sumatera, N. (2023). ANALISIS LINGKUNGAN PEMASARAN GLOBAL. Jurnal Ekonomi Dan Perbankan Syariah, 8(30), 1048–1056.

Khairi, M. R., Dalimunthe, N., Islam, U., Sumatera, N., Syariah, P., & Kerja, T. (2023). Analisis dampak tindakan bi dalam penyehatan lembaga perbankan syariah terhadap tenaga kerja pada perbankan. Urnal Masharif Al-Syariah: Jurnal Ekonomi Dan Perbankan Syariah, 8(30), 1057–1068.

Lubis. (2016). Manajemen Investasi dan Perilaku Keuangan (Pendekatan Teoritis dan Empiris). In CV Press.

Maharajabdinul. (2024). SINERGITAS KEBIJAKAN MONETER DAN KEBIJAKAN FISKAL UNTUK MENGENDALIKAN INFLASI DI INDONESIA. Mutawazin (Jurnal Ekonomi Syariah IAIN Sultan Amai Gorontalo, 5(1), 14–27.

Maimunah, A., & Madura, U. T. (2024). DINAMIKA INFLASI DI INDONESIA?: ANALISIS FAKTOR- FAKTOR PENYEBAB INFLASI DAN DAMPAK TERHADAP. JURNAL MEDIA AKADEMIK, 2(6).

Malik, A., & Kurnia, D. (2017). PENGARUH UTANG LUAR NEGERI DAN PENANAMAN MODAL ASING TERHADAP PERTUMBUHAN EKONOMI. J u r n a l A k u n t a n s I, 3(2), 27–42.

Marbun, A., Rayman, A., Gaol, L., Marbun, F. B., Gaol, R. L., & Sihombing, R. M. (2023). Pengaruh Suku Bunga Deposito Terhadap Perkembangan Dana Deposito. JURNAL EKONOMIKA45, 10(2).

Mujasmara, F. D., Tri, R., Panggabean, T., & Muliana, R. S. (2023). Peran Kebijakan Fiskal Terhadap Perekonomian di Indonesia. NNOVATIVE: Journal Of Social Science Research, 3(1).

Nurhasanah, H. (2024). Menghadapi Inflasi?: Strategi Pengendalian Dan Dampak Terhadap Ekonomi Dan Kesejahteraan Rakyat. PTIMAL: Jurnal Ekonomi Dan Manajemen, 4(2), 56–72.

Rizani, A., Norrahman, R. A., Harsono, I., Yahya, A. S., & Syifa, D. M. (2023). Efek Inflasi terhadap Daya Beli Masyarakat pada Tinjauan Ekonomi Makro. Journal Of International Multidisciplinary Research, 5(1).

Sarie. (2023). Metodelogi penelitian. In Cendikia Mulia Mandiri.

Satria. (2009). Ekonomi, Uang, dan Bank: Catatan Teoritis dan Praktis. In Universitas Brawijaya Press.

Satria. (2020). Ekonomi dan bisnis Indonesia. Uang, dan Bank: Catatan Teoritis dan Praktis. In Universitas Brawijaya Press.

Sutaguna. (2023). Ekonomi bisnis. In Cendikia Mulia Mandiri.

Wahdaniah. (2024). Hukum Lembaga Keuangan. In CV. Gita Lentera.

Downloads

Published

2024-09-19

How to Cite

Affandy Agusman Aris, Loso Judijanto, Darmun, Triani patra pertiwi, & Muhammad Hendra. (2024). TINJAUAN LITERATUR TENTANG SISTEM EKONOMI DAN DAMPAKNYA TERHADAP STABILITAS KEUANGAN: FOKUS PADA INFLASI DAN HUTANG. Ekasakti Jurnal Penelitian Dan Pengabdian, 4(2), 652–659. Retrieved from https://ejurnal-unespadang.ac.id/index.php/EJPP/article/view/1176