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  • Search: subject:"Economic development: Financial markets"
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Year of publication
Subject
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Economic Development: Financial Markets 5 Financial market 5 Finanzmarkt 5 Corporate Finance and Governance 4 Financial markets and the macroeconomy 4 Saving and Capital Investment 4 Banks 3 Depository Institutions 3 Economic development: Financial markets 3 Micro Finance Institutions 3 Mortgages 3 Credit rating 2 Debt 2 Econometrics 2 Economic development: financial markets 2 Financial economics 2 Financial markets 2 Financial sector 2 Finanzsektor 2 Foreign exchange 2 G01 2 Microeconomic Analyses of Economic Development 2 Moody’s 2 Savings 2 Sovereign debt crisis 2 Sparen 2 Standard & Poor’s 2 B26 1 Bank 1 Bank regulation 1 Bankenregulierung 1 Corporate finance 1 Country risk 1 Debt crisis 1 Developing countries 1 E44 1 Econometric and statistical methods 1 Economic Development: General 1 Economic development 1 Economic growth 1
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Online availability
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Undetermined 4 Free 1
Type of publication
All
Article 6 Book / Working Paper 4
Type of publication (narrower categories)
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Article in journal 4 Aufsatz in Zeitschrift 4 research-article 2 Arbeitspapier 1 Graue Literatur 1 Non-commercial literature 1 Working Paper 1
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Language
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English 7 Undetermined 3
Author
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Ahmad, Ferhan 2 Ahmad, Mushtaq 2 Gaillard, Norbert 2 Nasir, Muhammad Ali 2 Anagol, Santosh 1 Bhupatiraju S. 1 Bos J.W.B. 1 Bos, Jaap W. B. 1 Dinh T.H.T. 1 Gopinathan, R. 1 Joshi, Debanam Priyam Priyadarshi 1 Kleimeier S. 1 Marisetty, Vijaya 1 Millone M.M. 1 Millone, Matteo 1 Mir, Tariq Ahmad 1 Sane, Renuka 1 Straetmans S.T.M. 1 Venugopal, Buvaneshwaran 1 Wu, JunJie 1 Wu, Junjie 1
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Institution
All
Graduate School of Business and Economics (GSBE), School of Business and Economics 2 United Nations University-Maastricht Economic Research Institute of Innovation and Technology (UNU-MERIT) 1
Published in...
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Journal of financial economic policy 3 Journal of Financial Economic Policy 2 Research Memorandum / Graduate School of Business and Economics (GSBE), School of Business and Economics 2 GSBE research memoranda 1 MERIT Working Papers 1 The World Bank economic review 1
Source
All
ECONIS (ZBW) 5 RePEc 3 Other ZBW resources 2
Showing 1 - 10 of 10
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Revisiting long-run dynamics between financial inclusion and economic growth in developing nations : evidence from CS-ARDL approach
Mir, Tariq Ahmad; Gopinathan, R.; Joshi, Debanam Priyam … - In: Journal of financial economic policy 16 (2024) 2, pp. 176-193
Persistent link: https://www.econbiz.de/10014514712
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Practice what you preach : microfinance business models and operational efficiency
Bos, Jaap W. B.; Millone, Matteo - 2013
Persistent link: https://www.econbiz.de/10010385377
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On the impact of regulating commissions : evidence from the Indian mutual funds market
Anagol, Santosh; Marisetty, Vijaya; Sane, Renuka; … - In: The World Bank economic review 31 (2017) 1, pp. 241-270
Persistent link: https://www.econbiz.de/10011752753
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Financial and economic stability as ‘two sides of a coin’ : Non-crisis regime evidence from the UK based on VECM
Nasir, Muhammad Ali; Ahmad, Mushtaq; Ahmad, Ferhan; Wu, … - In: Journal of Financial Economic Policy 7 (2015) 4, pp. 327-353
Purpose – The purpose of this paper is to provide a different context for considering issues of financial stability and instability, with reference to economic growth and price stability in particular. Design/methodology/approach – This paper pursued an empirical exploration of six pillars...
Persistent link: https://www.econbiz.de/10014866902
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Financial and economic stability as "two sides of a coin" : non-crisis regime evidence from the UK based on VECM
Nasir, Muhammad Ali; Ahmad, Mushtaq; Ahmad, Ferhan; Wu, … - In: Journal of financial economic policy 7 (2015) 4, pp. 327-353
Persistent link: https://www.econbiz.de/10011406718
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The geographic dimensions of institutions
Bhupatiraju S. - United Nations University-Maastricht Economic Research … - 2014
In this paper we examine the role of institutions relative to economic performance, absolute geography and financial performance of a country. In order to do this, we use the spatial principal component analysis and a spatial canonical correlation analysis to obtain multi-dimensional measure of...
Persistent link: https://www.econbiz.de/10011103323
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Assessing sovereign risk: the case of rich countries
Gaillard, Norbert - In: Journal of Financial Economic Policy 6 (2014) 3, pp. 212-225
Purpose – This paper aims to shed new light on the inability of credit rating agencies (CRAs) to forecast the recent defaults and so-called quasi-defaults of rich countries. It also describes how Moody’s sovereign rating methodology has been modified – and could be further improved – to...
Persistent link: https://www.econbiz.de/10014866970
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Assessing sovereign risk : the case of rich countries
Gaillard, Norbert - In: Journal of financial economic policy 6 (2014) 3, pp. 212-225
Persistent link: https://www.econbiz.de/10010490591
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Practice what you preach: Microfinance business models and operational efficiency
Millone M.M.; Bos J.W.B. - Graduate School of Business and Economics (GSBE), … - 2013
The microfinance sector is an example of a sector in which firms with different business models coexist. Next to pure for-profit microfinance institutions MFIs, the sector has room for non-profit organizations, and includes social for-profit firms that aim to maximize a double bot- tom line and...
Persistent link: https://www.econbiz.de/10010734892
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Bank lending strategy, credit scoring and financial crises
Kleimeier S.; Dinh T.H.T.; Straetmans S.T.M. - Graduate School of Business and Economics (GSBE), … - 2013
Adverse selection inherent in the bank-borrower relationship typically intensifies during crises. This problem is expecially severe in emerging markets, characterized by weak institutions and banks with poorly developed monitoring and screening abilities. Exploiting a unique sample of Vietnamese...
Persistent link: https://www.econbiz.de/10010856558
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