摘要:This paper attempts to draw out a framework to examine the Malaysian experience in the recent financial crisis. In achieving the objective of the study, this paper provides a systematic analysis of the nature of the crisis in Malaysia, the socio-economic impacts of crisis in the country, and the actions taken by the government to rebuild the economy after the crisis. Specifically, this paper discusses the exchange control measure adopted in Malaysia as one of the necessary measures to address the fallout from the regional financial crisis. In the final section, this paper suggests important indicators that may serve as signals for another potential crisis