Munich Personal RePEc Archive

Items where Subject is "O - Economic Development, Innovation, Technological Change, and Growth > O1 - Economic Development > O16 - Financial Markets ; Saving and Capital Investment ; Corporate Finance and Governance"

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Number of items at this level: 360.

A

Abdel Aal Mahmoud, Ashraf (2010): FDI and Local Financial Market Development:A Granger Causality Test Using Panel Data.

Abdel Aal Mahmoud, Ashraf (2010): FDI, local Financial Markets, employment and poverty alleviation.

Abdelaal Mahmoud, Ashraf (2010): FDI, local Financial Markets, Employment and poverty alleviation. Published in: DEVELOPMENT ECONOMICS eJOURNAL , Vol. Vol. 2, No. 134 (30 July 2010)

Abu-Bader, Suleiman and Abu-Qarn, Aamer (2006): Financial Developent and Economic Growth Nexus: Time Series Evidence from Middle Eastern and North African Countries. Published in: Review of Development Economics , Vol. 12, No. 4 (2008): pp. 803-817.

Abu-Bader, Suleiman and Abu-Qarn, Aamer (2005): Financial Development and Economic Growth: Time Series Evidence from Egypt. Published in: Journal of Policy Modeling , Vol. 30, No. 5 (2008): pp. 887-898.

Acevedo Rueda, Rafael Alexis and Mora Mora, José U. (2008): Consideraciones sobre la relación entre la inversión privada y los factores socio-políticos y judiciales en Venezuela y América Latina. Published in: Compendium No. 22 (July 2009): pp. 5-23.

Acevedo Rueda, Rafael Alexis and Mora Mora, José U. (2008): Factores socio-político y judiciales como determinantes de la inversión privada en Latinoamérica. Published in: Economía , Vol. 26, No. XXXIII (December 2008): pp. 93-118.

Acevedo Rueda, Rafael Alexis and Mora Mora, José U. and Harmath Fernández, Pedro alexander (2009): Ahorro y comercio internacional como determinantes de la inversión en Latinoamérica durante el siglo XX. Published in: Economía y Desarrollo , Vol. 1, No. 9 (March 2010): pp. 67-86.

Achy, Lahcen and Rigar, Sidi Mohamed (2005): Déterminants de la structure financière des entreprises manufacturières au Maroc.

Addison, Douglas and Wodon, Quentin (2007): Macroeconomic Volatility, Private Investment, Growth, and Poverty in Nigeria. Published in: Growth and Poverty Reduction: Case Studies from West Africa (edited by Quentin Wodon, published in World Bank Working Paper No. 79) (January 2007): pp. 123-137.

Adenutsi, Deodat E. (2010): Financial development, bank savings mobilization and economic performance in Ghana: evidence from a multivariate structural VAR. Published in: International Journal of Development Research and Quantitative Techniques , Vol. 1, No. 2 (2011): pp. 3-24.

Adenutsi, Deodat E. (2011): Financial development, international migrant remittances, and endogenous growth in Ghana. Published in: Studies in Economics and Finance , Vol. 68, No. 1 (2011): pp. 68-89.

Afandi, Elvin and Habibov, Nazim (2012): Social trust and use of banking services across households in 28 transitional countries.

Aguilar, Ady and Galarza, Francisco (2013): Rentabilidad versus profundidad del alcance: un análisis de las entidades microfinancieras peruanas, 2006-2011.

Akdal, Sinan (2010): How do Firm Characteristics Affect Capital Structure? Some UK Evidence..

Albu, Lucian-Liviu and Georgescu, George (1987): L’amortissement et l’autofinancement du processus d’investissement. Published in: Revue Roumaine des Sciences Sociales, Série des Sciences Économiques , Vol. 31, No. 1 (June 1987): pp. 77-85.

Albu, Lucian-Liviu and Pelinescu, Elena (2000): Sustainability of public debt: a theoretical and empirical investigation. Published in: Revue Roumaine des Sciences Economiques , Vol. 45, No. 1 : pp. 101-127.

Andrea, Canidio (2010): The determinants of long-run inequality.

Andrey, Rudkov (2011): Economical preconditions of functioning of independent boards of directors in view of neoclassical economical theory.

Ang, James (2009): Do Financial Sector Policies Promote Innovative Activity in Developing Countries? Evidence from India.

Ang, James (2009): Financial Liberalization Or Repression?

Ang, James (2009): Financial Liberalization and Income Inequality.

Ang, James (2009): The Saving-Investment Dynamics And Financial Sector Reforms in India.

Ang, James (2010): Savings Mobilization, Financial Development and Liberalization: The Case of Malaysia.

Ansay, Thomas (2009): Firm valuation: tax shields & discount rates.

Ardic, Oya Pinar and Damar, H. Evren (2006): Financial Sector Deepening and Economic Growth: Evidence from Turkey. Published in: Topics in Middle Eastern and North African Economies (MEEA Online Journal) , Vol. 9, (2007)

Armendáriz, Beatriz and Roome, Nigiel (2008): Gender empowerment in microfinance. Published in: In Suresh Sundaresan, ed., Microfinance: Emerging Trends and Challenges, New York: Edward Elgar Publishing, Ltd (2008)

Armendáriz, Beatriz and Szafarz, Ariane (2011): On mission drift in microfinance institutions. Published in: The Handbook of Microfinance, Beatriz Armendáriz and Marc Labie (eds), UK: World Scientific

Armour, John and Deakin, Simon and Sarkar, Prabirjit and Siems, Mathias and Singh, Ajit (2007): Shareholder protection and stockmarket development: an empirical test of the legal origins hypothesis. Published in: Centre for Business Research Working Paper Series No. WP358 (December 2007)

Arrow, Kenneth J. and Bensoussan, Alain and Feng, Qi and Sethi, Suresh P. (2008): The Genuine Saving Criterion and the Value of Population in an Economy with Endogenous Population Changes.

Asongu, Simplice and Nwachukwu, Jacinta and Tchamyou, Vanessa (2015): Information Asymmetry and Financial Development Dynamics in Africa.

Augier, Laurent and Soedarmono, Wahyoe (2010): Threshold Effect and Financial Intermediation in Economic Development.

Augier, Laurent and Soedarmono, Wahyoe (2010): Threshold Effect and Financial Intermediation in Economic Development.

Avellaneda, Maria Belen (2008): The Transatlantic Economy Dollar vs Euro relations amid the Global Financial Crisis.

Azman-Saini, W.N.W. and Law, Siong Hook and Ahmad, Abdul Halim (2009): FDI and economic growth: new evidence on the role of financial markets. Published in: Economics Letters , Vol. 107, : pp. 211-213.

Azman-saini, W.N.W and Smith, Peter (2010): Finance and growth: new evidence on the role of insurance. Published in: South African Journal of Economics , Vol. 79, No. 2 (2011): pp. 111-127.

B

BOUSALAM, Issam and HAMZAOUI, Moustapha (2015): Bank-based investing RoSCA for Islamic finance: a new alternative to drain households savings and reduce financial exclusion.

Badruddoza, S. (2012): Pins in the shoes of microfinance.

Bah, El-hadj M. and Fang, Lei (2011): Impact of the business environment on output and productivity in Africa.

Bah, El-hadj M. and Fang, Lei (2011): Impact of the business environment on output and productivity in Africa.

Barajas, Angel (2002): Fútbol profesional y bolsa: experiencia en otras ligas europeas.

Basher, Syed Abul and Fachin, Stefano (2011): The long-run relationship between savings and investment in oil-exporting developing countries: A case study of the Gulf Arab States.

Batuo Enowbi, Michael and Kupukile, Mlambo (2012): Financial instability, financial openness and economic growth in african countries.

Belloc, Filippo (2010): Corporate governance and innovation: an organizational perspective.

Ben Fredj, Imene and Schalck, Christophe (2004): Tunisian Financial System: a Growth Factor.

Bera, Soumitra Kumar (2010): Financial crisis: The incrediable hulk in Indian economic growth and external sector.

Bitros, George C. and Hritonenko, Natali and Yatsenko, Yuri (2007): Investment, replacement and scrapping in a vintage capital model with embodied technological change.

Bolt, Wilko and Peeters, Marga (1998): Corporate governance in the Netherlands. Published in: Corporate governance, financial markets and global convergence - Balling et al (eds) (1998): pp. 89-110.

Bonizzi, Bruno (2013): Capital market inflation in emerging markets: The case of Brazil and South Korea. Published in: PSL Quarterly Review , Vol. 68, No. 273 (September 2015): pp. 115-150.

Briones, Roehlano (2007): Do Small Farmers Borrow Less when the Lending rate Increases? The Case of Rice Farming in the Philippines.

Brissimis, Sophocles N. and Garganas, Eugenie N. and Hall, Stephen G. (2012): Consumer credit in an era of financial liberalisation: An overreaction to repressed demand?

Brutti, Filippo (2008): Legal enforcement, public supply of liquidity and sovereign risk.

Bukvić, Rajko (2013): Могу ли дознаке постати извор акумулације? Published in: Могуће стратегије развоја Србије (Possible Development Strategies of Serbia), Српска академија наука и уметности (Serbian Academy of Sciences and Arts), Београд (Belgrade), 2014 (2014): pp. 357-366.

Bukvić, Rajko (2016): Дознаке: између потрошње и акумулације. Published in: Српска наука данас (Serbian Science Today) , Vol. 1, No. 1 (2016): pp. 55-65.

Bukvić, Rajko and Ocić, Časlav (2013): Финансиализация и современные экономические кризисы. Published in: Вестник НГИЭИ (Vestnik NGIEI) , Vol. 4, No. 3 (22) (2013): pp. 3-17.

Burachik, Gustavo (2009): La acumulación de capital en la Argentina en la posguerra. Published in: Oikos No. 27 (27 June 2009): pp. 101-123.

Bussière, Matthieu and Kalantzis, Yannick and Lafarguette, Romain and Sicular, Terry (2013): Understanding household savings in China: the role of the housing market and borrowing constraints.

C

Cai, Jing (2013): The Impact of Insurance Provision on Households’ Production and Financial Decisions.

Cai, Jing and Song, Changcheng (2013): Do Hypothetical Experiences Affect Real Financial Decisions? Evidence from Insurance Take-up.

Cai, Yifei (2016): 货币增速剪刀差与股票市场收益率的时变格兰杰因果关系研究.

Camilleri, Silvio John (2006): Strategic Priorities for Stock Exchanges in New EU Member States. Published in: The FEMA Research Bulletin , Vol. 2, No. 1 (2006): pp. 7-19.

Caprio, Gerard and Honohan, Patrick (2001): Finance for Growth: Policy Choices in a Volatile World. Published in: (21 May 2001)

Catalan, Mario and Demekas, Dimitri (2015): Challenges for Systemic Risk Assessment in Low-Income Countries. Published in: Journal of Risk Management in Financial Institutions , Vol. 8 (2), (March 2015): pp. 118-129.

Chan, Rosanna (2008): Financial constraints, working capital and the dynamic behavior of the firm.

Chandra, Abhijeet (2009): Stock Market Anomalies: A Calender Effect in BSE-Sensex.

Chaudhuri, Sarbajit and Ghosh Dastidar, Krishnendu (2009): Corruption in a Model of Vertical Linkage between Formal and Informal Credit Sources and Credit Subsidy Policy.

Chaudhuri, Sarbajit and Ghosh Dastidar, Krishnendu (2014): Corruption in union leadership.

Chaudhuri, Sarbajit and Ghosh Dastidar, Krishnendu (2014): Vertical Linkage between Formal and Informal Credit Markets, Corruption and Credit Subsidy policy: A Note.

Chaudhuri, Sarbajit and Ghosh Dastidar, Krishnendu (2011): Vertical linkage between formal and informal credit markets: corruption and credit subsidy policy.

Chavarín, Rubén (2015): Determinants of commercial bank profitability in Mexico. Published in: EconoQuantum , Vol. 12, No. 1 (2015): pp. 97-123.

Chen, Kuan-Jen and Chu, Angus C. and Lai, Ching-Chong (2014): Home Production and Small Open Economy Business Cycles.

Chirculescu, Felicia Maria and Dobrota, Gabriela (2009): Presentation of fiscal measures taken in present in Romania for economic and number of jobs growth. Published in: Annals of “Eftimie Murgu” University, Reşiţa , Vol. 1/2009, No. Economic studies, ISSN 1584 – 0972 (2009): pp. 33-37.

Chisari, Omar O. and Ferro, Gustavo (2009): Gobierno Corporativo: los problemas, estado actual de la discusión y un ejercicio de medición para Argentina.

Cole, Rebel and Turk, Rima (2007): Legal origin, creditor protection and bank lending around the world.

Cole, Rebel and Turk, Rima (2007): Legal origin, creditor protection and bank lending: Evidence from emerging markets.

Columba, Francesco and Gambacorta, Leonardo and Mistrulli, Paolo Emilio (2009): The effects of mutual guarantee consortia on the quality of bank lending. Published in: Revue Bancaire et Financiere , Vol. 4, (2009): pp. 226-232.

Columba, Francesco and Leonardo, Gambacorta and Paolo Emilio, Mistrulli (2008): Firms as monitor of other firms: mutual guarantee institutions and SME finance.

Cripps, Francis and Izurieta, Alex and Singh, Ajit (2011): Global imbalances, under-consumption and overborrowing: the state of the world economy & future policies. Published in: Centre for Business Research Working Paper Series No. WP419 (March 2011)

Cuberes, David (2008): Democracy, Diversification, and Growth Reversals.

D

Das, Khanindra Ch. (2009): Access to Finance and Its Association with Development in Rural India.

Daskovskiy, Vadim and Kiselyov, Vladimir (2010): Assessment of investment projects on the basis of production efficiency.

Daskovskiy, Vadim and Kiselyov, Vladimir (2010): The phased approach to time value of money in economic analysis of investment projects.

Deabes, Tosson (2005): The middle way between flexible and fixed exchange rates.

Deakin, Simon and Sarkar, Prabirjit and Singh, Ajit (2011): An end to consensus? the selective impact of corporate law reform on financial development. Published in: Centre for Business Research Working Paper Series No. WP423 (June 2011)

Dehejia, Rajeev and Montgomery, Heather and Morduch, Jonathan (2005): Do interest rates matter? credit demand in the Dhaka Slums. Published in: ADB Institute Discussion Paper No. 37

Dehghan Nejad, Omid (2010): A Note on the Post-Revolution Iranian Economy and the Banking Sector. Published in: Middle Eastern Finance and Economics No. 6 : pp. 91-98.

Demir, Firat (2008): Financial Liberalization, Private Investment and Portfolio Choice: Financialization of Real Sectors in Emerging Markets. Forthcoming in: Journal of Development Economics

Demir, Firat (2007): Private Investment and Cash Flow Relationship Revisited: Capital Market Imperfections and Financialization of Real Sectors in Emerging Markets.

Demir, Firat (2006): Volatility of short term capital flows, financial anarchy and private investment in emerging markets.

Demir, Firat and Dahi, Omar S. (2009): Asymmetric Effects of Financial Development on South-South and South-North Trade: Panel Data Evidence from Emerging Markets.

Diagne, Youssoupha S (2013): Impact of business environment on investment and output of manufacturing firms in Senegal.

Diallo, Ibrahima Amadou (2010): Analyzing the link between real exchange rate and productivity.

Diallo, Ibrahima Amadou (2008): Exchange Rate Volatility and Investment, A Panel Data Cointegration Approach.

Diallo, Ibrahima Amadou (2007): Exchange rate volatility and investment: a panel data cointegration approach.

Dissanayake, D.M.N.S.W. (2012): Savings and Investments: Theoretical Underpinnings of Investment Theories of Finance and the Taxation Regime on Investments in United Kingdom.

Djumashev, R (2007): Corruption, uncertainty and growth.

Doumbia, Djeneba (2015): Financial development and economic growth: Evidence of non-linearity.

Doval, E and Stoica, M (2007): Approaches on investments in continuing management knowledge turnover apprising. Published in: the Proceedings of the 34th ARA (American-Romanian Academy of Arts and Science) Congress , Vol. ISBN 9, No. Ecole Polytechnique de Montreal (25 July 2007): pp. 228-231.

Dutta, Nabamita and Roy, Sanjukta (2008): Foreign Direct Investment, Financial Development and Political Risks. Forthcoming in: Journal of Developing Areas

Duvendack, Maren (2010): Smoke and Mirrors: Evidence of Microfinance Impact from an Evaluation of SEWA Bank in India.

Duvendack, Maren and Palmer-Jones, Richard (2011): The microfinance of reproduction and the reproduction of microfinance: understanding the connections between microfinance, empowerment, contraception and fertility in Bangladesh in the 1990s.

de Mauro, Andrea (2013): Africa’s Burden: Labour Markets, Natural Resources and the FDI ‘Reliance-Rejection’ Paradox. Published in: e-International Relations (June 2013)

E

Effiong, Ekpeno (2015): Financial Development, Institutions and Economic Growth: Evidence from Sub-Saharan Africa.

Elasrag, hussein (2011): Principals of the Islamic finance:A focus on project finance.

Emara, Noha (2012): Inflation volatility, financial institutions and sovereign debt rating. Published in: Journal of Development and Economic Policies , Vol. 4, No. 1 (2012): pp. 29-53.

Emara, Noha (2015): Revisiting sovereign ratings, capital flows and financial contagion in emerging markets. Published in: World Journal of Applied Economics , Vol. 1, No. 2

Emara, Noha and Chiu, I-Ming (2015): The Impact of Governance on Economic Growth: The case of Middle Eastern and North African Countries.

Emara, Noha and Jhonsa, Eric (2014): Governance and economic growth: The case of Middle Eastern and North African countries. Published in: Journal of Development and Economic Policies , Vol. 16, No. 1 (2014): pp. 47-71.

Emran, M. Shahe and Morshed, A.K.M Mahbub and Stiglitz, Joseph E. (2011): Microfinance and Missing Markets.

Enowbi Batuo, Michael and Kupukile, Mlambo (2009): How Can Economic and Political Liberalisation Improve Financial Development in African Countries?

Enowbi Batuo, Michael and Mlambo, Kupukile (2012): Financial liberalisation, Banking Crises and Economic Growth in African Countries.

Eozenou, Patrick (2008): Financial Integration and Macroeconomic Volatility: Does Financial Development Matter?

Essers, Dennis and Blommestein, Hans and Cassimon, Danny and Ibarlucea Flores, Perla (2015): Local currency bond market development in Sub-Saharan Africa: A stock-taking exercise and analysis of key drivers.

Estrada, Fernando (2010): Meditaciones popperianas sobre la crisis financiera.

Estrada, Fernando and Moscoso, Fabio F and Diaz, Natalia and Andrade, Nelson (2015): Obstacles to progress in R&D activities caused by Institutional and Regulatory Frameworks: the case of the Biotech Sector in Colombia. Published in: Research in World Economy , Vol. VI, No. 4 (December 2015): pp. 116-122.

Evers, Hans-Dieter and Nordin, Ramli and Nienkemper, Pamela (2010): Knowledge cluster formation in Peninsular Malaysia: The emergence of an epistemic landscape. Published in: ZEF Working Papers No. 62 (10 October 2010): pp. 1-36.

F

Fiona, Tregenna (2006): An empirical investigation of the effects of concentration on profitability among US banks.

Francesco, Aiello and Graziella, Bonanno (2015): Looking at the determinants of efficiency in banking: evidence from Italian mutual-cooperatives.

Freeman, Alan (2001): Europe, the US and the world economy: Alan Greenspan’s search for a fifth Kondradieff.

Freeman, Alan (1998): Fixing up the world: GATT and the WTO. Published in: Labour Focus on Eastern Europe No. Number 59, 1998 (July 1998): pp. 74-93.

Freeman, Alan (2003): Globalisation: economic stagnation and divergence. Published in: Pettifor, A (2003) Real World Economic Outlook, Basingstoke: Palgrave MacMillan, (2003): pp. 152-159.

Freeman, Alan (2000): Has the empire struck back? ‘new paradigm’ globalisation or return to classical imperialism? Published in: Albritton, R, Makoto Itoh, Richard Westra and Alan Zuege (eds) Phases of Capitalist Development: Booms, Crises, and Globalization, London: McMillan. No. ISBN 0 33375 316 X (June 2000): pp. 195-215.

Freeman, Alan (2002): The new political geography of poverty.

Freeman, Alan (2002): The new world order and the failure of globalisation.

Fukuda, Takashi and Dahalan, Jauhari (2011): Finance-Growth-Crisis Nexus in India: Evidence from Cointegration and Causality Assessment. Published in: Economia Internazionale / International Economics , Vol. 64, No. 3 (August 2011): pp. 297-328.

Fusari, Angelo (2010): Economic theory and social change: problems and revisions.

G

Gabriele, Alberto (2009): The Role of the State in China's Industrial Development: a Reassesment.

Gabrisch, Hubert (2014): The binding constraint on growth in less developed Western Balkan countries.

Gabrisch, Hubert (2014): The binding constraint on growth in less developed Western Balkan countries.

Gallardo, Mauricio (2010): Nicaragua: el desafío pendiente de superación de la pobreza.

Gete, Pedro and Porchia, Paolo (2010): Fertility and consumption when having a child is a risky investment.

Goagara, Daniel and Giurca Vasilescu, Laura (2011): The Liquidation - based on Evaluation and Accounting Information.

Gomes, Orlando (2007): Deterministic randomness in a model of finance and growth.

Gomes, Orlando (2007): Nonlinear dynamics in a model of financial development with a risk premium.

Gomes, Orlando (2007): On the allocation of credit and aggregate fluctuations.

Green, Keith (2005): Foreign direct investment in the Indian telecommunications sector.

Green, Keith (2005): The fragile panacea of debt relief for developing countries.

Griffith, Ronnie and Waithe, Kimberly and Lorde, Troy and Craigwell, Roland (2009): The contribution of credit unions to the national development of Barbados. Published in: Journal of Public Policy Analysis , Vol. 4, (2009): pp. 20-42.

Guncavdi, Oner and Kucukcifci, Suat (2008): Openness to Trade and Structural Changes in the Sources of Economic Growth and Labour Demand in Turkey.

Gurgul, Henryk and Lach, Łukasz (2012): Financial Development and Economic Growth in Poland in Transition: Causality Analysis. Published in: Czech Journal of Economics and Finance , Vol. 62, (2012): pp. 347-367.

Gurgul, Henryk and Łukasz, Lach (2011): Financial development and economic growth in Poland in transition: causality analysis.

H

Hagemejer, Jan and Tyrowicz, Joanna (2009): Is the Impact Really That High? The Effect of FDI in Transition.

Hamdi, Helmi and Hakimi, Abdelaziz (2015): Did banks and financial markets developments lead to economic growth in MENA region? Evidence from Dynamic panel data estimation.

Hanif, M.N. and Husain, F. and Jafri, S. (2008): Financial Sector Reforms and International Trade Competitiveness: A Case Study of Pakistan. Published in: Finance Research , Vol. 1, No. 1 (31 January 2012): pp. 27-34.

Hanif, Muhammad N. (2002): Restructuring of Financial Sector in Pakistan. Published in: The Journal of the Institute of Bankers in Pakistan (January 2003): pp. 43-74.

Harabi, Najib (2007): State of Corporate Governance in Arab Countries: An Overview.

Harb, Nasri and Al-Awad, Mouawiya (2005): Financial Development and Economic Growth in the Middle East. Published in: Applied Financial Economics , Vol. 15, No. 15 (2005): pp. 1041-1051.

Hartwell, Christopher A. (2001): The case against capital controls: financial flows, crises, and the flip side of the free-trade argument. Published in: Cato Policy Analysis No. 403 (14 June 2001)

Hashiguchi, Yoshihiro and Chen, Kuang-hui (2010): Has China's Interregional Capital Mobility Been Low? A Spatial Econometric Estimation of the Feldstein-Horioka Equation.

He, Dong and Yong, Ivy and Lim, Peter (2006): Financial sector output and employment in Hong Kong and New York City. Published in: Hong Kong Monetary Authority Quarterly Bulletin No. March 2006

Hein, Eckhard (2009): ‘Financialisation’, distribution, capital accumulation and productivity growth in a Post-Kaleckian model.

Hernandez-Verme, Paula (2002): Inflation, Growth and Exchange Rate Regimes in Small Open Economies.

Hernandez-Verme, Paula and Wang, Wen-Yao (2009): Multiple Reserve Requirements, Exchange Rates, Sudden Stops and Equilibrium Dynamics in a Small Open Economy.

Ho, Wai-Hong (2008): Credit Market Development and Human Capital Accumulation.

I

Iqbal, Javed and Nadeem, Khurram (2006): Exploring the causal relationship among social, real, monetary and infrastructure development in Pakistan. Published in: Pakistan Economic and Social Review , Vol. 44, No. 1 (June 2006): pp. 39-56.

J

JUDE, Cristina and LEVIEUGE, Gregory (2013): Growth effect of FDI in developing economies: The role of institutional quality.

James, Ang (2009): Financial Liberalization and the Aid-Growth Relationship in India.

Janda, Karel and Turbat, Batbayar (2013): Econometric Analysis of Profitability of Microfinance Institutions in Selected Asian Countries.

Janda, Karel and Turbat, Batbayar (2013): Factors Influencing Portfolio Yield of Microfinance Institutions in Central Asia.

Janda, Karel and Zetek, Pavel (2014): MIKROFINANČNÍ REVOLUCE: AKTUÁLNÍ KONTROVERZE A VÝZVY.

Janda, Karel and Zetek, Pavel (2014): Survey of Microfinance Controversies and Challenges.

Jaouadi, Saïd (2011): The reality about aid and governance: the threshold theory.

Jellal, Mohamed (2014): Diaspora transferts finance et développement économique.

Jellal, Mohamed and Bouzahzah, Mohamed (2012): Maroc gouvernance finance et développement.

Jensen, Nathaniel and Mude, Andrew and Barrett, Christopher (2016): How Basis Risk and Spatiotemporal Adverse Selection Influence Demand for Index Insurance: Evidence from Northern Kenya.

Jensen, Nathaniel D. and Barrett, Christopher B. and Mude, Andrew G. (2014): Basis Risk and the Welfare Gains from Index Insurance: Evidence from Northern Kenya.

Jha, Chandan Kumar (2015): Financial Reforms and Corruption.

Jin, Ye and Wu, Binzhen and Li, Hongbin (2010): Income Inequality, Status Seeking, and Consumption.

Jomadar, Dinesh (2009): LITIGATIONS, DAMAGES AND SOLUTIONS IN RESIDENTIAL MORTGAGE-BACKED SECURITIES.

Jorge E, Mendoza (2007): APERTURA. GASTO PÚBLICO Y CONVERGENCIA EN AMÉRICA LATIN: UN MODELO ECONOMETRICO ESPACIAL. Published in: Comercio Exterior , Vol. 57, No. 9 (December 2007): pp. 705-717.

K

KABLAN, Sandrine (2012): Microfinance efficiency in the West African Economic and Monetary Union: have reforms promoted sustainability or outreach?

Kaufmann, Daniel (2004): Corruption, Governance and Security: Challenges for the Rich Countries and the World. Published in:

Kaufmann, Daniel (2005): Myths and Realities of Governance and Corruption. Published in: Global Competitiveness Report 2005-06 (October 2005): pp. 81-98.

Kechagia, Polyxeni and Metaxas, Theodore (2016): FDI in Central Asia: Uzbekistan.

Kechagia, Polyxeni and Metaxas, Theodore (2016): FDI in Latin America: The case of Peru.

Kemal, A.R. and Qayyum, Abdul and Hanif, Muhammad N. (2004): Financial Development and Economic Growth: Evidence from a Heterogeneous Panel of High Income Countries. Published in: The Lahore Journal of Economics , Vol. 12, No. Summer:1 (2007): pp. 1-34.

Kemp-Benedict, Eric (2012): The national bioenergy investment model: Technical documentation. Published in: CIFOR Working Paper No. 88

Khan, Arshad and Qayyum, Abdul and Sheikh, Saeed (2005): Financial Development and Economic Growth: The Case of Pakistan. Published in: The Pakistan Development Review , Vol. 44, No. 4 (2005): pp. 819-837.

Khan, Salman (2010): Crude Oil Price shocks to Emerging Markets: Evaluating the BRICs Case.

Khemraj, Tarron and Langrin, R. Brian (2009): Dynamic interactions of bank assets in two foreign currency constrained economies. Published in: Journal of Business, Finance and Economics in Emerging Economies , Vol. 6, No. 1 (January 2011)

Kodila-Tedika, Oasis and Asongu, Simplice (2015): Genetic Distance and Cognitive Human Capital: A Cross-National Investigation.

Kodila-Tedika, Oasis and Asongu, Simplice and Cinyabuguma, Matthias (2016): Financial Development and Geographic Isolation: Global Evidence.

Kogan, Anton (2013): Финансовая инновация - миф или реальность?

Kogan, Anton (2013): Methods of choosing the most profitable real assets among options that require different amounts for various periods of time.

Koomson, Isaac and Annim, Samuel Kobina and Peprah, James Atta (2014): Loan Refusal, Household Income and Savings in Ghana.

Kowalski, Tadeusz (2009): Comparative analysis of economic transformation in Poland and selected central European countries. Published in: Poznan-Atlanta MBAWorking Papers in Management, Finance and Economics, Poznan University of Economics , Vol. 1 2009, No. 1 (8) 2009

Kukenova, Madina and Strieborny, Martin (2009): Investment in Relationship-Specific Assets: Does Finance Matter?

Kukenova, Madina and Strieborny, Martin (2009): Investment in Relationship-Specific Assets: Does Finance Matter?

Kundu, AMIT (2013): Mobilization of Personal Savings among Microfinance-Participating Households: A Survey in West Bengal, India. Published in: Journal of Rural Cooperation , Vol. 41, No. No.2 2013 (28 December 2013): pp. 199-214.

Kundu, Amit (2010): Joint versus Individual Liability in Microfinance – A Comparative Impact Evaluation Through Natural Experiment. Published in: Asia -Pasific Social Science Review , Vol. 11, No. June, 2011 (10 August 2011): pp. 1-20.

Kunieda, Takuma (2008): Financial Development and Volatility of Growth Rates: New Evidence.

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