印尼经济动荡是由管理不善和机构削弱所驱动的,刺激投资者的担忧和货币贬值。
Indonesia’s economic turmoil, driven by mismanagement and weakened institutions, fuels investor concerns and currency decline.
印尼政府面对着对经济管理不善的越来越多的监督,而激进的财政刺激和绕过议会监督又加剧了投资者的焦虑和削弱鲁比亚。
Indonesia’s government faces growing scrutiny over economic mismanagement, with aggressive fiscal stimuli and bypassed parliamentary oversight fueling investor anxiety and a weakening rupiah.
对被操纵的数据、停滞不前的改革和有争议的Nusantara资本项目的关切增加,而公众抗议尽管持续不满,却有所下降。
Concerns mount over manipulated data, stalled reforms, and the controversial Nusantara capital project, while public protests have declined despite ongoing discontent.
批评者强调内阁的任意变革、军事对政治的影响以及机构问责制的削弱,敦促透明度和支持独立新闻工作以维护民主廉正。
Critics highlight arbitrary cabinet changes, military influence in politics, and weakened institutional accountability, urging transparency and support for independent journalism to uphold democratic integrity.