Determinants of Financial Development / / by Y. Huang.
A PDF version of this book is available for free in open access via the OAPEN Library platform, www.oapen.org. This book examines the emergence of both financial markets and carbon markets, and provides an in-depth investigation on the fundamental determinants of financial development.
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Place / Publishing House: | London : : Palgrave Macmillan UK :, Imprint: Palgrave Macmillan,, 2011. |
Year of Publication: | 2010 2011 |
Edition: | 1st ed. 2011. |
Language: | English |
Physical Description: | 1 online resource (226 p.) |
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Huang, Y. author. aut http://id.loc.gov/vocabulary/relators/aut Determinants of Financial Development / by Y. Huang. 1st ed. 2011. Basingstoke Springer Nature 2010 London : Palgrave Macmillan UK : Imprint: Palgrave Macmillan, 2011. 1 online resource (226 p.) text txt computer c online resource cr Description based upon print version of record. Cover; Half-Title; Title; Copyright; Dedication; Table of Contents; List of Figures; List of Tables; List of Abbreviations; Preface; 1 Introduction; 1.1 Background; 1.2 Origins of financial development: A review; 1.2.1 Institutions; 1.2.2 Policy; 1.2.3 Geography; 1.2.4 Other variables; 1.3 Structure of the book; 2 General Determinants of Financial Development; 2.1 Introduction; 2.2 The data; 2.2.1 Samples; 2.2.2 Measures of financial development; 2.2.3 The potential determinants; 2.3 Empirical strategy; 2.3.1 Bayesian Model Averaging; 2.3.2 General-to-specific approach 2.4 Empirical results (I): Overall financial development2.4.1 Some stylized facts; 2.4.2 What are the main determinants of FD?; 2.5 Empirical results (II): Specific financial developments; 2.6 Conclusions; Appendix text; Appendix tables; 3 Private Investment and Financial Development; 3.1 Introduction; 3.2 The data; 3.3 Analysis on data for five-year averages; 3.3.1 Methodology: System GMM; 3.3.2 Empirical results; 3.4 Analysis on annual data; 3.4.1 Methodology: Common factor approach; 3.4.2 Panel unit root tests; 3.4.3 Panel cointegration tests; 3.4.4 Estimation on annual data 3.5 ConclusionAppendix tables; Appendix figures; 4 Political Institutions and Financial Development; 4.1 Introduction; 4.2 Institutions, democratization and finance; 4.3 The measures and data; 4.3.1 The sample; 4.3.2 The measure and data for financial development; 4.3.3 The measure and data for institutional improvement; 4.4 Methodology; 4.5 Evidence; 4.5.1 Preliminary evidence; 4.5.2 Regression results; 4.6 Conclusion; Appendix tables; 5 Financial Reforms for Financial Development; 5.1 Introduction; 5.2 Methodology; 5.2.1 Model specifications; 5.2.2 Econometric methods 5.3 Empirical evidence5.3.1 Analysis on the original dataset; 5.3.2 Analysis on a larger dataset; 5.4 Discussions; 5.5 Conclusion; Appendix tables; 6 Geographic Determinants of Carbon Markets (CDM); 6.1 Introduction; 6.2 Data and stylized facts; 6.3 Econometric method: Spatial econometric approach; 6.4 Empirical evidence; 6.5 Concluding remarks; Appendix table; Conclusion; Notes; Bibliography; Index English Open Access Includes bibliographical references and index. A PDF version of this book is available for free in open access via the OAPEN Library platform, www.oapen.org. This book examines the emergence of both financial markets and carbon markets, and provides an in-depth investigation on the fundamental determinants of financial development. Macroeconomics. Urban economics. Banks and banking. Environmental economics. Development economics. Political economy. Macroeconomics/Monetary Economics//Financial Economics. http://scigraph.springernature.com/things/product-market-codes/W32000 Urban Economics. http://scigraph.springernature.com/things/product-market-codes/W49010 Banking. http://scigraph.springernature.com/things/product-market-codes/626010 Environmental Economics. http://scigraph.springernature.com/things/product-market-codes/W48000 Development Economics. http://scigraph.springernature.com/things/product-market-codes/W42000 International Political Economy. http://scigraph.springernature.com/things/product-market-codes/912140 reform financiele markten carbon development financial markets koolstof ontwikkeling hervorming crisis Democracy Dependent and independent variables Estimator Gross domestic product Long run and short run P-value 1-349-32415-9 0-230-27367-X |
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Huang, Y. Huang, Y. |
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Huang, Y. Huang, Y. Determinants of Financial Development / Cover; Half-Title; Title; Copyright; Dedication; Table of Contents; List of Figures; List of Tables; List of Abbreviations; Preface; 1 Introduction; 1.1 Background; 1.2 Origins of financial development: A review; 1.2.1 Institutions; 1.2.2 Policy; 1.2.3 Geography; 1.2.4 Other variables; 1.3 Structure of the book; 2 General Determinants of Financial Development; 2.1 Introduction; 2.2 The data; 2.2.1 Samples; 2.2.2 Measures of financial development; 2.2.3 The potential determinants; 2.3 Empirical strategy; 2.3.1 Bayesian Model Averaging; 2.3.2 General-to-specific approach 2.4 Empirical results (I): Overall financial development2.4.1 Some stylized facts; 2.4.2 What are the main determinants of FD?; 2.5 Empirical results (II): Specific financial developments; 2.6 Conclusions; Appendix text; Appendix tables; 3 Private Investment and Financial Development; 3.1 Introduction; 3.2 The data; 3.3 Analysis on data for five-year averages; 3.3.1 Methodology: System GMM; 3.3.2 Empirical results; 3.4 Analysis on annual data; 3.4.1 Methodology: Common factor approach; 3.4.2 Panel unit root tests; 3.4.3 Panel cointegration tests; 3.4.4 Estimation on annual data 3.5 ConclusionAppendix tables; Appendix figures; 4 Political Institutions and Financial Development; 4.1 Introduction; 4.2 Institutions, democratization and finance; 4.3 The measures and data; 4.3.1 The sample; 4.3.2 The measure and data for financial development; 4.3.3 The measure and data for institutional improvement; 4.4 Methodology; 4.5 Evidence; 4.5.1 Preliminary evidence; 4.5.2 Regression results; 4.6 Conclusion; Appendix tables; 5 Financial Reforms for Financial Development; 5.1 Introduction; 5.2 Methodology; 5.2.1 Model specifications; 5.2.2 Econometric methods 5.3 Empirical evidence5.3.1 Analysis on the original dataset; 5.3.2 Analysis on a larger dataset; 5.4 Discussions; 5.5 Conclusion; Appendix tables; 6 Geographic Determinants of Carbon Markets (CDM); 6.1 Introduction; 6.2 Data and stylized facts; 6.3 Econometric method: Spatial econometric approach; 6.4 Empirical evidence; 6.5 Concluding remarks; Appendix table; Conclusion; Notes; Bibliography; Index |
author_facet |
Huang, Y. Huang, Y. |
author_variant |
y h yh y h yh |
author_role |
VerfasserIn VerfasserIn |
author_sort |
Huang, Y. |
title |
Determinants of Financial Development / |
title_full |
Determinants of Financial Development / by Y. Huang. |
title_fullStr |
Determinants of Financial Development / by Y. Huang. |
title_full_unstemmed |
Determinants of Financial Development / by Y. Huang. |
title_auth |
Determinants of Financial Development / |
title_new |
Determinants of Financial Development / |
title_sort |
determinants of financial development / |
publisher |
Springer Nature Palgrave Macmillan UK : Imprint: Palgrave Macmillan, |
publishDate |
2010 2011 |
physical |
1 online resource (226 p.) |
edition |
1st ed. 2011. |
contents |
Cover; Half-Title; Title; Copyright; Dedication; Table of Contents; List of Figures; List of Tables; List of Abbreviations; Preface; 1 Introduction; 1.1 Background; 1.2 Origins of financial development: A review; 1.2.1 Institutions; 1.2.2 Policy; 1.2.3 Geography; 1.2.4 Other variables; 1.3 Structure of the book; 2 General Determinants of Financial Development; 2.1 Introduction; 2.2 The data; 2.2.1 Samples; 2.2.2 Measures of financial development; 2.2.3 The potential determinants; 2.3 Empirical strategy; 2.3.1 Bayesian Model Averaging; 2.3.2 General-to-specific approach 2.4 Empirical results (I): Overall financial development2.4.1 Some stylized facts; 2.4.2 What are the main determinants of FD?; 2.5 Empirical results (II): Specific financial developments; 2.6 Conclusions; Appendix text; Appendix tables; 3 Private Investment and Financial Development; 3.1 Introduction; 3.2 The data; 3.3 Analysis on data for five-year averages; 3.3.1 Methodology: System GMM; 3.3.2 Empirical results; 3.4 Analysis on annual data; 3.4.1 Methodology: Common factor approach; 3.4.2 Panel unit root tests; 3.4.3 Panel cointegration tests; 3.4.4 Estimation on annual data 3.5 ConclusionAppendix tables; Appendix figures; 4 Political Institutions and Financial Development; 4.1 Introduction; 4.2 Institutions, democratization and finance; 4.3 The measures and data; 4.3.1 The sample; 4.3.2 The measure and data for financial development; 4.3.3 The measure and data for institutional improvement; 4.4 Methodology; 4.5 Evidence; 4.5.1 Preliminary evidence; 4.5.2 Regression results; 4.6 Conclusion; Appendix tables; 5 Financial Reforms for Financial Development; 5.1 Introduction; 5.2 Methodology; 5.2.1 Model specifications; 5.2.2 Econometric methods 5.3 Empirical evidence5.3.1 Analysis on the original dataset; 5.3.2 Analysis on a larger dataset; 5.4 Discussions; 5.5 Conclusion; Appendix tables; 6 Geographic Determinants of Carbon Markets (CDM); 6.1 Introduction; 6.2 Data and stylized facts; 6.3 Econometric method: Spatial econometric approach; 6.4 Empirical evidence; 6.5 Concluding remarks; Appendix table; Conclusion; Notes; Bibliography; Index |
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0-230-30249-1 1-349-32415-9 0-230-27367-X |
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Illustrated |
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332 - Financial economics |
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332 |
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