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.


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.


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.


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.


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)


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.


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.


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.


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.


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.


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): 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.


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.


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.

Kunieda, Takuma (2008): Financial Globalization and Inequality.

Kunieda, Takuma and Okada, Keisuke and Shibata, Akihisa (2011): Finance and Inequality: How Does Globalization Change Their Relationship?

Kunieda, Takuma and Shibata, Akihisa (2012): Business Cycles and Financial Crises: A Model of Entrepreneurs and Financiers.


Law, Siong Hook and Azman-Saini, W.N.W. and Smith, Peter (2006): Finance and growth in a small open emerging market.

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Nabi, Mahmoud Sami and Rajhi, Taoufik (2005): Banking, Credit Market Imperfection and Growth.

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P., Srinivasan (2014): Stock Market Development and Economic growth in India: An Empirical Analysis.

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Petraglia, Carmelo and Amaturo, Francesca and Giordano, Luca (2009): Divari territoriali e limiti nell’accesso al credito per le PMI meridionali: quale ruolo per i Confidi?

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Ramachandran, Ramakrishnan and Senthil Kumar, T. S. (2006): Micro finance.

Rao, B. Bhaskara (2008): Estimating the permanent growth effects of financial liberalization: The case of Malaysia.

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Sarkar, Prabirjit (2011): Does finance matter for growth? what the data show.

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Sarkar, Prabirjit (2007): Stock Market Development and Capital Accumulation: What the Time Series Evidence Shows.

Sarkar, Prabirjit (2006): Stock Market Development, Capital Accumulation and Growth in India since 1950.

Sarkar, Prabirjit (2007): Stock Market Developments and Capital Accumulation in India: Does Better Shareholder Protection Matter?

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Schmidt, Oliver (2010): The Evolution of India’s microfinance market – just a crack in the glass ceiling?

Schmidt, Oliver (2012): Uganda's microfinance policy regime: An exploratio through a political-economy framework.

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Tan, Bee Wah and Tang, Chor Foon (2011): The dynamic relationship between private domestic investment, the user cost of capital, and economic growth in Malaysia.

Tang, Chor Foon (2009): Does causality technique matter to savings-growth nexus in Malaysia? Published in: Malaysian Management Journal , Vol. 13, No. 1-2 (2009): pp. 1-10.

Tang, Chor Foon (2010): Savings-led growth theories: A time series analysis for Malaysia using the bootstrapping and time-varying causality techniques. Forthcoming in: International Journal of Economic Research

Tang, Chor Foon (2010): Savings-led growth theories: A time series analysis for Malaysia using the bootstrapping and time-varying causality techniques.

Tanin, Fahian and Ahmed, Zahir Uddin and Ahamad, Mazbahul Golam (2010): Does FDI intensify Economic Growth? Empirics from Bangladesh.

Tatom, John and Ott, Mack (2006): Money and Taxes: The Relationship Between Financial Sector Development and Taxation.

Thiombiano, Lardia Marcel (2013): Essai sur le système financier: une analyse du marché du crédit en Afrique Subsaharienne.

Titarenko, Deniss (2007): Investīciju struktūra un ekonomikas izaugsme Latvijā. Published in: Baltijas Foruma 12. starptautiskās konferences „ES un Krievija: vienojoties par jaunām attiecībām” ekonomiskās sekcijas materiāli, 2007.gada 25.maijā, Rīga, Latvija (May 2007): pp. 46-55.

Titelman, Daniel and Vera, Cecilia and Carvallo, Pablo and Perez Caldentey, Esteban (2012): Un Fondo de Reservas Regional para América Latina.

Tiwari, Aviral Kumar and Shahbaz, Muhammad (2010): Does financial development increase rural-urban income inequality? Cointegration analysis in the case of Indian economy. Published in:


Veysov, Alexander and Stolbov, Mikhail (2011): Do financial systems converge? A Comprehensive panel data approach and new evidence from a dataset for 102 countries.

Villarreal, Francisco G. (2014): Financial Services and Household Inequality in Mexico.

Visinescu, Sorin and Micuda, Dan (2009): Some aspects regarding the financial structure theories. Published in:


Wamboye, Evelyn and Mookerjee, Rajen (2013): Financial development and manufactured exports: the african experience.

Wanat, Stanisław and Papież, Monika and Śmiech, Sławomir (2016): Insurance Market Development and Economic Growth in Transition Countries: Some new evidence based on bootstrap panel Granger causality test.

Waśniewski, Krzysztof (2010): Emergence of alternative capital markets in developing countries as a process of institutional change.

Weiss, John and Montgomery, Heather (2004): Great expectations: microfinance and poverty reduction in Asia and Latin America. Published in: ADB Institute Discussion Paper No. 15

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Yan, Isabel K. and Chan, Kenneth S. and Dang, Vinh Q.T. (2011): Chinese Firms’ Political Connection, Ownership, and Financing Constraints. Forthcoming in: Economics Letters

Yan, Isabel K. and Chan, Kenneth S. and Dang, Vinh Q.T. (2011): Effects of Financial Liberalization and Political Connection on Listed Chinese Firms’ Financing Constraints. Forthcoming in: World Economy

Yan, Isabel K. and Chan, Kenneth S. and Dang, Vinh Q.T. (2011): Financial liberalization and financing constraints: some evidence from panel data of listed Chinese firms.

Yeboah Asuamah, Samuel (2016): Modelling financial development and electricity consumption nexus for Ghana.

Yeboah Asuamah, Samuel (2016): Modelling the Effect of Investment on Agricultural Productivity in Ghana.


Zaman, Md Monowaruz (2007): The theoretical aspect of Muhammad Yunus’s dream-'putting poverty in museums'.

Zangeneh, Hamid (2006): Saving, Investment and Growth: A Causality Test. Published in: Iranian Economic review , Vol. 11, No. 16 (2006): pp. 165-175.

Zhou, Ge (2011): Money and Long-run Growth.


Стукач, Виктор and Шумакова, Оксана and Помогаев, Виталий and Гришаев, Егор and Якубенко, Марина and Асташова, Екатерина and Самсонова, Юлия and Ушакова, Елена and Старовойтова, Наталья and Зинич, Алла and Ревякина, Юлия and Флейклер, Инна and Елкина, Виктория and Степанова, Татьяна and Помогаев, Евгений and Гришаева, Людмила and Зинич, Любовь and Храмцова, наталья (2002): Инфраструктура агропродовольственного комплекса региона: новые вызовы.

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