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Indonesia Finance Minister tells bankers to be wary of global risks

09 Tháng Giêng 2023
Indonesia Finance Minister tells bankers to be wary of global risks © Reuters. FILE PHOTO: Indonesia's Finance Minister Sri Mulyani Indrawati speaks during a side event on the G20 Finance Ministers and Central Bank Governors Meeting in Nusa Dua, Bali, Indonesia, 14 July 2022. Made Nagi/Pool via REUTERS

JAKARTA (Reuters) - Indonesia's finance minister on Monday told the nation's top bankers to be wary of risks to their balance sheets this year due to numerous global risks, including potential debt crises in some countries.

In a seminar with bankers, Sri Mulyani Indrawati said risks in 2023 included high inflation, rising interest rates, geopolitical tension and the International Monetary Fund's outlook for slowing global growth.

"The ups and downs, whether our economy is healthy or not really depend on the banking sector today, in 2023," Sri Mulyani said.

"So if I am guarding the state budget, please take care of your own banks well too," she said, urging bankers to think ahead and not to "continue to be constantly surprised" by global developments.

Southeast Asia's largest economy managed to maintain economic stability during an extraordinary year in 2022, she said, with economic growth expected to have remained resilient around 5% in the fourth quarter, following 5.7% growth in the third quarter.

Some other countries did not fare so well, Sri Mulyani said, predicting for this year "not only recession but the potential of debt crisis in countries where debt levels are very high".

She also warned of global division into geopolitical blocks reminiscent of the Cold War.

The Indonesian government would continue to maintain a flexible budget, including anticipating a potential revenue loss from moderating commodity prices, she said.

It did well last year, the minister added, citing a fiscal deficit of 2.4% of GDP, much smaller than planned, thanks to strong revenue collection from a commodity export boom.

Indonesia's banking sector is well capitalised with a capital adequacy ratio at 25.49% and a non-performing loan ratio at 2.65% as of November.

Its central bank last year raised interest rates by a total of 200 basis points and some economists expected further rate hikes this year to bring inflation back to within a 2-4% target. December inflation was 5.51%.

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03-06-2023 11:01:34 (UTC+7)

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1.0708

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EUR/USD

1.0708

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 EUR/USD1.0708↑ Buy
 GBP/USD1.2450↑ Buy
 USD/JPY139.97Neutral
 AUD/USD0.6602↑ Sell
 USD/CAD1.3428↑ Sell
 EUR/JPY149.89↑ Buy
 EUR/CHF0.9733↑ Buy
 Gold1,964.30↑ Sell
 Silver23.695↑ Sell
 Copper3.7310↑ Buy
 Crude Oil WTI71.87Sell
 Brent Oil76.40↑ Buy
 Natural Gas2.177↑ Sell
 US Coffee C180.60↑ Sell
 Euro Stoxx 504,323.52↑ Buy
 S&P 5004,282.37↑ Sell
 DAX16,051.23↑ Sell
 FTSE 1007,607.28Sell
 Hang Seng18,949.94↑ Buy
 Small Cap 20001,830.91↑ Buy
 IBEX 359,317.30Buy
 BASF46.790↑ Sell
 Bayer52.61↑ Buy
 Allianz210.15Sell
 Adidas159.52Buy
 Lufthansa9.303Buy
 Siemens AG159.28↑ Buy
 Deutsche Bank AG9.862Sell
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