Optimal financial inclusion for financial stability : empirical insight from developing countries
Year of publication: |
2025
|
---|---|
Authors: | Sebai, Meriem ; Talbi, Omar ; Mehri, Hella Guerchi |
Published in: |
Finance research letters. - New York : Elsevier Science, ISSN 1544-6123, ZDB-ID 2145766-9. - Vol. 71.2025, Art.-No. 106467, p. 1-7
|
Subject: | Developing countries | Financial inclusion | Financial stability | Nonlinear relationship | Panel smooth transition regression | Entwicklungsländer | Finanzielle Inklusion | Finanzsektor | Financial sector | Regressionsanalyse | Regression analysis | Finanzmarkt | Financial market | Panel | Panel study |
-
Thi An, Thu-Ha, (2021)
-
Ruzive, Tafadzwa, (2021)
-
Nandi, Biplob Kumar, (2022)
- More ...
-
Unemployment, informality and optimal monetary policy, an evaluation of the cross-checking approach
Boukraine, Wissem, (2024)
-
Jmaii, Amal, (2024)
-
Comparing optimal monetary policy rules, does wage inflation matters?
Boukraine, Wissem, (2021)
- More ...