Determinants of Foreign Direct Investment in Indonesia “Evidence from Co-Integration and Error Correction Modeling”
Determinants of Foreign Direct Investment in Indonesia “Evidence from Co-Integration and Error Correction Modeling”
复制标题
印度尼西亚外国直接投资的决定因素“协整和纠错模型的证据”
DOI:
10.1051/shsconf/20207601002
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发表时间:
2020
影响因子:
--
通讯作者:
Natasya Edyanto
中科院分区:
文献类型:
--
作者:
Alessandro Gabrielle Wijaya;D. Astuti;Z. Tarigan;Natasya Edyanto
This study aims to examine the influence of macroeconomic indicators and infrastructure spending on foreign direct investment (FDI) in the period 1981 to 2018. This study uses a quantitative approach. The sample in this study is macroeconomic variables, which include gross domestic product, inflation, debt to GDP ratio, interest rates, exchange rates, and infrastructure spending in the 1981 to 2018 period. The analysis technique used is cointegration and error correction modeling. The analysis shows that gross domestic product, inflation, debt to GDP ratio, interest rates, exchange rates, and infrastructure spending have a long-term and short-term relationship to FDI.