摘要:This book seeks to present a macro-econometric model of Bangladesh’s developing economy across a 28 year period from 1975 to 2003. Two distinct periods are identified and examined: macro-economic policy under administrative control (1975-1990); and macro-economic policy under reform measures (1990-2003). The author argues that although the economic structural adjustment process was introduced in the 1980s, real financial liberalisation did not occur until 1990.