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Toplam kayıt 17, listelenen: 1-10
Economic and Institutional Determinants of Corruption: The Case of Developed and Developing Countries
(Springer, 2023)
Since ancient times, corruption has been one of the essential topics for economists and politicians. Moreover, it is a concern for both developed and developing countries and a significant obstacle to economic development. ...
Corruption, banking sector, and stock market development: A panel data analysis
(2013)
Studying the relation between corruption and financial factors and examining its consequences for financial system have attracted many researchers in recent years. This study examines the role of corruption and banking ...
Firm, Country and Macroeconomic Determinants of Capital Structure: Evidence from Turkish Banking Sector
(2014)
This study explores the significance of firm-specific, country, and macroeconomic factors in explaining variation in leverage using a sample of banks from Turkish banking sector. The analysis is based on quarterly firm-level ...
Seigniorage Revenue and Inflation Tax: Testing Optimal Seigniorage Theory for Turkish Economy
(#AD?, 2013)
The goal of this study is to test the implication of Mankiv’s (1987) optimal seigniorage theory suggesting that in the long run higher tax rates are associated with higher inflation rates and higher nominal interest rates ...
The Relationship between Foreign Banking and Credit Access: Panel Analysis Method
(Journal of Economics and Political Economy, 2014-09)
After 1990, the crises in planned economies has resulted with accept of the free market system and disintegration of this country blocks. The transition economies are defined as process of approaching work to the free ...
The Relationship between Foreign Banking and Credit Access: Panel Analysis Method
(2014-09)
After 1990, the crises in planned economies has resulted with accept of the free market system and disintegration of this country blocks. The transition economies are defined as process of approaching work to the free ...
Financial Openness and Capital Mobility: A Dynamic Panel Data Analysis
(2013-07)
This study estimates saving and investment correlations for the Central and Eastern Europe (CEE) transition economies and the G-20 countries to assess the degree of capital mobility. Employing GMM, this study uses financial ...
The Nexus between Institutional Quality and Inflation in Emerging Markets: A Panel Causality Test with a Fourier Function
(Vilnius University Press, 2023)
It is important to note that institutional quality has a substantial impact on a country's long-term economic growth, which influences other economic indicators, such as inflation and monetary policy. An indepth examination ...
Investigating the environmental Kuznets curve hypothesis with recovered paper consumption, human development index, urbanization, and forest footprint
(Institute for Ionics, 2023)
The aim of this study, which covers the period from 1991 to 2017, is to analyze the relationships between recovered paper consumption, human development index, urbanization rate, and forest footprint in the framework of ...
Institutional Quality and Unemployment in OECD Nations: A Panel Causality Test Using a Fourier Function
(KASERSART UNIV, FAC ECONOMICS, 2023)
A significant impact of institutional quality on sustainable growth has been revealed in recent studies. This study aims to examine the relationship between diferent institutions and their unemployment rates, considering ...