نتایج جستجو برای: financial market development

تعداد نتایج: 1668538  

2015
Omar M. Al Nasser

Utilizing panel data methods and applying Granger causality tests within a framework of a panel cointegration and error correction model, this paper investigates the relationship between financial development and economic growth for 14 Latin American countries from 1978 to 2011. The empirical results show that when banking sector development indicators are used as proxies for financial developm...

Journal: :Scientific Notes of Taurida National V.I. Vernadsky University. Series: Economy and Management 2020

Mansouri, Ehsan ,

In this paper, used the system GMM estimation technique to study the effects of the financial development on Sukuk markets by using a panel dataset of 11 countries from 1995 to 2015. At the First, research findings shows that Sukuk and bank financing are substitutes. Economies where banks play a key role in providing private credit issue less Sukuk. Second, the evidence shows that Sukuk are com...

Given the significant role of small and medium-size industries in any country’s economic development, this research aims to design a model of market development for small and medium-size food and beverage industries. “Grounded Theory” was applied to design the model. For that purpose, the required data were collected through theoretical sampling, semi-structured interview...

2000
Thorsten Beck Ross Levine

Are market-based or bank-based financial systems better at financing the expansion of industries that depend heavily on external finance? Are marketor bank-based financial systems better at facilitating the formation of new firms? We find evidence for neither the market-based nor the bank-based hypothesis. We find overwhelming evidence that industries that are heavily dependent on external fina...

ژورنال: اقتصاد مالی 2012

در این پژوهش ،به بررسی مطالعه تطبیقی جذب سرمایه گذاری خارجی در تقویت بازار سرمایه ی کشورهای منتخب در دوره زمانی 2001 تا 2010 می پردازیم . برای این منظور ضمن مطالعه روند سرمایه گذاری خارجی در کشورهای مختلف از مدل راسل کالدرون عوامل موثر بر بازدهی و توسعه بازار سرمایه در کشورهای مزبور مورد بررسی می باشد . نتایج این بررسی نشان دهنده اثر مثبت رشد اقتصادی ، میزان نقدینگی بازار ،سرمایه گذاری خارجی ،ش...

Abdul Hadi Yaakub Alireza Bahiraei, Behzad Abbasi Farahnaz Omidi Nor Aishah Hamzah

This paper presents dynamic portfolio model based on the Merton's optimal investment-consumption model, which combines dynamic synthetic put option using risk-free and risky assets. This paper is extended version of methodological paper published by Yuan Yao (2012). Because of the long history of the development of foreign financial market, with a variety of financial derivatives, the study on ...

Journal: :تحقیقات مالی 0
دکتر علی جهان خانی دکتر حسین عبده تبریزی

the introductory issue of the journal of financial research contains six articles in farsi and one in english. it also offers a glossary of financial terminology. the first article deals with the efficient capital market hypothesis , and is authored by dr. ali jahankhani & hussein abdoh tabrizi. it explains the concept and theories of capital market efficiency and their historical development i...

2015
Oasis Kodila-Tedika Simplice A. Asongu

Article history: Received 27 January 2015 Received in revised form 18 April 2015 Accepted 22 April 2015 Available online 20 May 2015 We assess the correlations between intelligence and financial development in 123 countries using data averages from 2000–2010. Cognitive human capital is measured in terms of IQ (Lynn and Vanhanen's IQ measures), cognitive ability (Rindermann's combination of psyc...

2000
Harry Huizinga

Countries differ in the extent to which their financial systems are bank-based or market-based. This paper presents evidence on the impact of financial development and structure on bank performance using bank-level data for a large number of developed and developing countries. For countries that have underdeveloped financial systems, we show that a move towards a more developed financial system...

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