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Corruption and Foreign Direct Investment Inflows: Evidence from West Africa 腐败与外国直接投资流入:来自西非的证据
Pub Date : 2022-01-01 DOI: 10.25103/ijbesar.143.01
William Bekoe, Talatu Jalloh, W. A. Rahaman
Purpose: The study investigates the effect of corruption on FDI inflows to West Africa, and also establishes a threshold level of corruption for the sub-region. Design/Methodology/Approach: Using secondary data for the period 1999-2018, the study adopted a panel Autoregressive Distributed Lag (ARDL) model to carry out regression analysis. However, to ensure results accuracy and validity, a cross section dependence test, panel unit root test and panel cointegration test was carried out. Findings: The results indicated that in the long-run, corruption adversely affects the inflow of FDI to West Africa, thus lending support to the grabbing hand hypothesis. The study found the long-run threshold level of corruption for West Africa to be 6.3, indicating that below this level FDI inflow cannot be discouraged by corruption otherwise, FDI inflows could be discouraged. Research limitations/Implications: The findings from the study suggests that governments from West Africa should focus on mechanisms that will strongly discourage people from engaging in corruption, such as reducing the delays in business registration, strengthening and ensuring of effective monitoring of public institutions, as well as introducing the practice of penalty and exhortation in the public sector. Quality/Value: The present study contributes to the literature by investigating the effects of corruption on the inflow of FDI to West Africa using a more appropriate macro panel estimation technique, the panel Autoregressive Distributive Lag (ARDL) technique. Furthermore, it provides a threshold level for corruption on FDI inflows in West Africa.
目的:本研究调查了腐败对流入西非的外国直接投资的影响,并确定了该次区域的腐败阈值水平。设计/方法/方法:利用1999-2018年期间的二次数据,该研究采用面板自回归分布滞后(ARDL)模型进行回归分析。然而,为了确保结果的准确性和有效性,进行了截面相关性检验、面板单位根检验和面板协整检验。研究结果:研究结果表明,从长远来看,腐败对流入西非的外国直接投资产生了不利影响,从而支持了抓手假说。研究发现,西非的长期腐败阈值水平为6.3,这表明低于这一水平的外国直接投资流入不能因腐败而受到阻碍,否则,外国直接投资的流入可能会受到阻碍。研究局限性/影响:研究结果表明,西非各国政府应专注于大力阻止人们参与腐败的机制,例如减少商业登记的延误,加强和确保对公共机构的有效监督,以及在公共部门引入惩罚和规劝的做法。质量/价值:本研究通过使用更合适的宏观面板估计技术,即面板自回归分配滞后(ARDL)技术,调查腐败对西非外国直接投资流入的影响,为文献做出了贡献。此外,它为西非外国直接投资流入的腐败提供了一个门槛水平。
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引用次数: 2
Was the Great Depression of 1929 Harsher than the Greek Depression? 1929年的大萧条比希腊大萧条更严重吗?
Pub Date : 2022-01-01 DOI: 10.25103/ijbesar.143.03
Georgios Galatsidas, Pantelis Sklias, Spyros A. Roukanas
Purpose: This paper is an analysis based on the comparison of the Greek Depression with the Great Depression of 1929 in the US. Design/methodology/approach: This analysis does neither focus on the pre-crisis period, nor on the manifestation of the crisis or the structural problems and economic policies that rendered the Greek economy vulnerable when the financial turmoil broke out. An entire decade has passed since the onset of the crisis, and various policies have been implemented, with explicitly stated goals and specific results. A clear distinction is made between these two periods, which appear to be relatively independent. The causes of the crisis itself are different than the causes that turned the crisis into a prolonged depression with irreversible consequences for the economy and the society. Finding: The comparison of the two crises on the basis of their effects on the real economy demonstrates that the Greek crisis had harsher consequences than the US crisis, taking into account its impact on key macroeconomic aggregates such as the income loss, the duration of the depression, the unemployment, the stock market index. Research limitations/implications: This paper takes into account that Greece is a member state of Eurozone, on the other hand U.S.A had an autonomous monetary policy during the Great Depression. Originality/value: The stubborn implementation of the “bailout” programme for the Greek economy not only has failed to produce the expected results as regards the debt and the deficits, but has also had devastating effects on the real economy. In addition, we ought to focus on the lack of national planning and a carefully planned actual and sustainable development of the real economy and, by extension, economic growth.
目的:本文是在比较希腊经济大萧条和1929年美国经济大萧条的基础上进行分析。设计/方法/方法:本分析既不关注危机前的时期,也不关注危机的表现,也不关注在金融动荡爆发时导致希腊经济脆弱的结构性问题和经济政策。自危机爆发以来,整整十年过去了,各项政策得到了实施,目标明确,结果明确。这两个时期之间有明显的区别,它们似乎是相对独立的。危机本身的原因不同于把危机变成对经济和社会造成不可逆转后果的长期萧条的原因。发现:根据对实体经济的影响对两场危机进行比较表明,考虑到其对收入损失、萧条持续时间、失业率、股市指数等关键宏观经济总量的影响,希腊危机的后果比美国危机更为严重。研究局限/启示:本文考虑到希腊是欧元区成员国,而美国在大萧条时期拥有自主的货币政策。独创性/价值:对希腊经济的“救助”计划的顽固执行,不仅未能在债务和赤字方面产生预期结果,而且对实体经济产生了毁灭性的影响。此外,我们应该关注缺乏国家规划和精心规划的实际和可持续发展的实体经济,并引申到经济增长。
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引用次数: 0
ICT as a Re-Engineering Strategy on Claim Settlement in Some Selected Insurance Companies In Nigeria: The Pandemic Experience ICT作为尼日利亚一些选定保险公司理赔的重组策略:疫情经验
Pub Date : 2022-01-01 DOI: 10.25103/ijbesar.143.06
M. Frances, Vincent Aghaegbunam Onodugo
Purpose: This study addresses the effect of ICT on the relationship between re-engineering and the performance of some selected insurance companies in Nigeria. It emphasizes the need to ensure that insurance companies achieve substantial improvement in performance via viable IT infrastructure to modernize all business processes. Design/Methodology/Approach: The study adopted a survey design, utilizing a sample of 350 respondents from two selected insurance companies in the southwest geopolitical zone of Nigeria. A questionnaire was used for the collection of data. The data analysis was conducted using the percentage formula and SPSS version 20. Findings: The research revealed that there is a significant relationship between ICT and operational performance of the insurance companies, the increase in the use of many ICT tools has proven to be caused by lockdown, which implies insurance companies should endeavor to provide updated ICT facilities to enable good quality service delivery and profitability. Technological innovations through ICT enabled the insurance industry to set up efficient delivery channels, which has capacitated the sector to solve the problems that are posed by the new change. ICT tools aided supervisors, employees, and managers in decision-making. Operational resilience became the proactive measure made by the insurance sector to ensure responsive, adaptable, and scalable services for the insured and stakeholders. Research limitation/Implication: This study exhibits practical implications for the financial service provider, as the manager and the insurer (Insurance companies) can be encouraged to find the best approach to redesign strategies and adopt basic IT facilities to automate business activities for optimal productivity and profitability. Coronavirus epidemic has created the need to emphasize the importance of making provision for a viable digital infrastructure, which ensures business continuity and customer retention, and there should be a collaboration between the financial service providers and implementing alternative delivery channels to achieve a thorough transformation that will strengthen the insurance sectors. Originality/value: This study furthers strengthens and validates the use of technology and the relevance of re-engineering in operational re-enforcement for increased efficiency and effectiveness of insurance services. The improvement in business process re-engineering is driven by ICT, and as a re-engineering enabler, enhances performance that could lead to competitive advantage and a great priority for insurance companies to gain more control over the final market and good customer relationship, by offering quality services, superior value to the services, affordable price, unique customization and consultation.
目的:本研究探讨了信息和通信技术对尼日利亚一些选定保险公司重组与业绩之间关系的影响。它强调需要确保保险公司通过可行的It基础设施实现所有业务流程的现代化,从而大幅提高绩效。设计/方法/方法:该研究采用了调查设计,利用了来自尼日利亚西南地缘政治区两家选定保险公司的350名受访者的样本。使用了一份调查表来收集数据。数据分析采用百分比公式和SPSS版本20进行。调查结果:研究表明,信息和通信技术与保险公司的运营绩效之间存在显著关系,许多信息和通信工具的使用增加已被证明是由封锁造成的,这意味着保险公司应努力提供更新的信息和通信技术设施,以实现高质量的服务提供和盈利。通过信息和通信技术进行的技术创新使保险业能够建立高效的交付渠道,这使该行业有能力解决新变化带来的问题。信息和通信技术工具有助于主管、员工和管理人员进行决策。运营弹性成为保险业采取的积极措施,以确保为被保险人和利益相关者提供响应性、适应性和可扩展的服务。研究局限性/含义:本研究对金融服务提供商具有实际意义,因为可以鼓励经理和保险公司(保险公司)找到重新设计战略的最佳方法,并采用基本的IT设施来自动化业务活动,以实现最佳生产力和盈利能力。冠状病毒疫情使人们需要强调提供可行的数字基础设施的重要性,以确保业务连续性和客户保留,金融服务提供商之间应该进行合作,并实施替代交付渠道,以实现彻底的转型,从而加强保险业。独创性/价值:这项研究进一步加强和验证了技术的使用以及重新设计在业务执法中的相关性,以提高保险服务的效率和效力。业务流程重组的改进是由信息和通信技术推动的,作为重组的推动者,通过提供优质服务、卓越的服务价值、可负担的价格、,独特的定制和咨询。
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引用次数: 0
Effects of Natural Resource exploitation on CEMAC Countries Development: The Human Capital Channel 自然资源开发对CEMAC国家发展的影响:人力资本渠道
Pub Date : 2022-01-01 DOI: 10.25103/ijbesar.143.04
Ghamsi Deffo Salomon Leroy, Ajoumessi Houmpe Donal, Demgne Pouokam Véronique, Njoupouognigni Moussa Ledoux
Purpose: The aim of this study is to determine the effect of the exploitation of natural resources on the development of CEMAC countries and to examine human capital as a transmission channel. Design/methodology/approach: In order to achieve our goal, we formulate a panel of 6 CEMAC countries over the period 2002-2018. This period of study is justified by the surge in the prices of natural resources in the market and also a fall of the prices of basic resources following two large exogenous shocks (subprime crisis and 2015 oil crisis). The estimation method use is the fixe effect, two stage least square and the Maximum likelihood with limited information. Findings: Of the estimation by the fixed-effect method show that natural resources abundance measured by: total rent, oil rent and forest rent has a negative effect on economic development. Likewise, human capital contributes to the transmission of these effects. The minimum education rate beyond which natural resources no longer have a negative effect on economic development, measured by the logarithm of GDP, is approximately 0.52, 0.51 and 0.48 respectively when we consider the total rent, the oil rent and the forest rent. This result is confirmed with the adoption of Maximum likelihood with limited information and the Two Stage Least Squared. Research limitations/implications: This study is limited in time and space. Moreover, the failure to take into account certain human capital or development variables. Originality/value: In the literature on the natural resources curse, the analysis of transmission channels in developing countries remains largely unexplored. The human capital component studied in this article is one of the first in the case of CEMAC countries. Also, we studied the effect of many resources, both renewable and non-renewable.
目的:本研究的目的是确定自然资源开发对中非经货共同体国家发展的影响,并考察人力资本作为一种传播渠道。设计/方法/方法:为了实现我们的目标,我们在2002-2018年期间制定了一个由6个中非经货共同体国家组成的小组。市场上自然资源价格的飙升以及两次大规模外部冲击(次贷危机和2015年石油危机)后基本资源价格的下跌证明了这一研究时期的合理性。估计方法采用固定效应、两阶段最小二乘法和信息有限的最大似然法。研究结果:固定效应法估算结果表明,以总租金、石油租金和森林租金衡量的自然资源丰度对经济发展具有负面影响。同样,人力资本也有助于这些影响的传递。当我们考虑总租金、石油租金和森林租金时,自然资源不再对经济发展产生负面影响的最低教育率(以GDP的对数衡量)分别约为0.52、0.51和0.48。这一结果通过采用有限信息的最大似然和两阶段最小二乘法得到了证实。研究局限性/影响:本研究在时间和空间上都是有限的。此外,没有考虑到某些人力资本或发展变量。独创性/价值:在关于自然资源诅咒的文献中,对发展中国家传播渠道的分析在很大程度上仍未被探索。本文所研究的人力资本构成是中非经货共同体国家的第一个案例。此外,我们还研究了许多资源的影响,包括可再生资源和不可再生资源。
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引用次数: 0
An Optimal Forecasting Method of Passenger Traffic in Greek Coastal Shipping 希腊沿海航运客运量最优预测方法
Pub Date : 2022-01-01 DOI: 10.25103/ijbesar.143.05
I. Sitzimis
Purpose: The main goal of this study is to exact an optimal forecasting method by answering the research question: which is the best model for capturing short-term seasonal components of passenger traffic in Greek coastal shipping? Design/methodology/approach: There are not a lot of scientific efforts in forecasting passenger traffic in Greece. In order to fill this gap, we tried to find an optimal forecasting method, by comparing Box-Jenkins ARIMA, smoothing and decomposition methods. As Greek coastal shipping consists of several concentrated submarkets (lines) we remained in fourteen popular itineraries (including total passenger traffic). Taking into consideration the high seasonality and no stationarity that characterizes those routes we limited our analysis to Winter’s triple exponential smoothing, to time series decomposition method, to simple seasonal model and to seasonal ARIMA models. Findings: The analysis results show that in fourteen popular coastal routes Winters’ multiplicative method, simple seasonal model and decomposition multiplicative trend and seasonal model have the best integration to the time series data. No coastal line led to better results by seasonal Box-Jenkins ARIMA models. Research limitations/implications: The results should be treated with caution since COVID-19 pandemic does not allow safe conclusions for the forecasting period 2020-2022 in GCS. However, the forecasting results of the first quarter of 2020, when pandemic had not fully prevailed, gave encouraging results with little deviations between predicted and actual values. Originality/value: Greek coastal shipping is one of the biggest in Europe serving a large number of passengers and having a large part of the total shipping fleet. It plays an important role for Greek economy and society, as it connects the majority of inhabited islands to mainland. The finding of an optimal forecasting method of passenger traffic is very significant for both business and government policy. Decisions on the number of routes served by shipping companies, on ships by coastal line (number and size), on companies' pricing policy, on public service obligations, on state port infrastructure policy and on the amount of state funding for barren lines are typical examples.
目的:本研究的主要目的是通过回答研究问题:哪一个模型是捕捉希腊沿海航运客运量短期季节性成分的最佳模型,从而确定一种最佳预测方法?设计/方法/方法:在预测希腊的客流量方面没有太多的科学努力。为了填补这一空白,我们通过对比Box-Jenkins ARIMA、平滑和分解方法,试图找到一种最优的预测方法。由于希腊沿海航运由几个集中的子市场(线路)组成,我们保持了14条热门路线(包括总客流量)。考虑到这些路线的高季节性和无平稳性特征,我们将分析限制在Winter的三重指数平滑,时间序列分解方法,简单季节性模型和季节性ARIMA模型。结果:分析结果表明,在14条热门沿海航线中,温特斯乘法法、简单季节模型和分解乘法趋势与季节模型对时间序列数据的整合效果最好。没有海岸线导致季节性Box-Jenkins ARIMA模型的结果更好。研究局限性/意义:由于COVID-19大流行无法在GCS中对2020-2022年的预测期得出安全结论,因此应谨慎对待结果。然而,在大流行尚未完全流行的2020年第一季度的预测结果令人鼓舞,预测值与实际值之间的偏差很小。独创性/价值:希腊沿海航运是欧洲最大的航运之一,为大量乘客提供服务,占总船队的很大一部分。它在希腊经济和社会中扮演着重要的角色,因为它连接了大多数有人居住的岛屿和大陆。寻找最优的客运量预测方法对企业和政府决策都具有重要意义。关于航运公司服务的航线数量、沿海航线的船舶数量(数量和大小)、公司定价政策、公共服务义务、国家港口基础设施政策和国家对贫瘠航线的资金数额的决定都是典型的例子。
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引用次数: 2
An Analysis of the Monetary Transmission Mechanism of M&A, Greenfield FDI, Domestic Investment, and GDP Per Capita Growth: The Structural Vector Correction Model in Indonesia 并购、绿地FDI、国内投资和人均GDP增长的货币传导机制分析:印度尼西亚的结构向量修正模型
Pub Date : 2021-09-01 DOI: 10.25103/ijbesar.142.03
Albert Hasudungan, A. Pulungan
Purpose: The study aims to evaluate the different implications of mergers and acquisitions (M&A) and Greenfield foreign direct investment in the transmission mechanism effects on the growth of gross domestic product per capita (GDP per capita) in Indonesia. The origin of the study stems from past academic debates that contested whether Greenfield FDI or M&A bear more effect on the economic growth in emerging markets.
目的:本研究旨在评估并购(M&A)和绿地外国直接投资对印尼人均国内生产总值(GDP)增长的传导机制影响的不同影响。这项研究的起源于过去的学术争论,即绿地外国直接投资还是并购对新兴市场的经济增长有更大的影响。
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引用次数: 0
Strategic Resources, A Driver of Performance in Small and Medium Manufacturing Enterprises in Kenya 战略资源:肯尼亚中小制造企业绩效的驱动因素
Pub Date : 2021-08-31 DOI: 10.25103/ijbesar.142.04
Muturi Moses Murimi, B. Ombaka, Joseph Muchiri
Purpose: This study sought to establish the effect of strategic resources on performance of small and medium manufacturing enterprises. Specifically, the study sought to identify how financial resources, human resources, physical resources and intellectual capital affect performance of small and medium manufacturing enterprises in Kenya. Methodology: Positivism research philosophy was utilised. Cross-sectional descriptive survey as well as explanatory study design were used in the study. The target population for the study was 350 Kenyan SMEs in the manufacturing sector. A sample of 183 firms was selected using stratified random sampling. One respondent from each firm was selected being the managing director. Data was collected using a semi-structured questionnaire. Diagnostic tests for multicollinearity and normality were conducted before data analysis. The research questionnaire was tested for content validity and reliability after. Data was analysed using inferential and descriptive statistics. Data collected was analysed using SPSS V23. Finding: The study found that strategic resources have a significant influence on significant influence on performance of manufacturing SMEs in Kenya. Specifically, financial, human and physical resources all positively and significantly influenced the performance of Kenyan SMEs while intellectual resources as no effect on performance. The study therefore concluded that financial resources have a positive and significant influence on performance of manufacturing SMEs in Kenya, human resource was found to be significant in predicting performance. Physical resources have a significant influence on performance of manufacturing SMEs in Kenya while intellectual capital has no significant influence on performance of manufacturing SMEs in Kenya. Study Implication: The study recommended that Management of manufacturing SMEs should ensure that there are enough financial resources to meet their daily transactions and ensure that they are able to acquire the relevant strategic resources for efficient running of their firms; have adequate, committed and well-skilled personnel with the required expertise; should invest significantly in physical resources in order to maximise the performance of these firms; carry our cost benefit analysis before committing their resources to protect their intellectual capital in form of patents. Value of the Study: The study showcases the influence of strategic resources on performance of manufacturing SMEs in Kenya.
目的:本研究旨在探讨战略资源对中小制造企业绩效的影响。具体而言,该研究试图确定财政资源、人力资源、物质资源和智力资本如何影响肯尼亚中小型制造企业的绩效。方法论:运用实证主义研究哲学。本研究采用横断面描述性调查和解释性研究设计。这项研究的目标人群是350家肯尼亚制造业中小企业。采用分层随机抽样的方法,选取183家企业作为样本。每家公司选出一名受访者担任总经理。使用半结构化问卷收集数据。在数据分析前进行多重共线性和正态性诊断试验。对研究问卷进行了内容效度和信度检验。数据分析采用推理和描述性统计。收集的数据使用SPSS V23进行分析。研究发现:战略资源对肯尼亚制造业中小企业绩效有显著影响。具体而言,金融、人力和物质资源都对肯尼亚中小企业的绩效产生了积极而显著的影响,而智力资源对绩效没有影响。因此,研究得出结论,财务资源对肯尼亚制造业中小企业的绩效有积极和显著的影响,人力资源在预测绩效方面显着。物质资源对肯尼亚制造业中小企业绩效有显著影响,而智力资本对肯尼亚制造业中小企业绩效没有显著影响。研究启示:研究建议制造业中小企业的管理层应确保有足够的财务资源来满足其日常交易,并确保他们能够获得相关的战略资源,以有效地运作他们的公司;拥有足够的、忠诚的、熟练的、具备所需专业知识的人员;应大力投资于实物资源,以使这些公司的业绩最大化;在投入资源以专利的形式保护他们的智力资本之前,进行我们的成本效益分析。研究价值:该研究展示了战略资源对肯尼亚制造业中小企业绩效的影响。
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引用次数: 1
Quantifying the Relationship Between GDP Per Capita and Inequality in the Balkan Region 量化巴尔干地区人均GDP与不平等之间的关系
Pub Date : 2021-08-16 DOI: 10.25103/ijbesar.142.01
E. Saucedo
Purpose:The paper aims to estimate the effect of inequality on the economic growth of Balkan countries for the period 2001-2017. In addition, the effect of capital stock on GDP per capita (GDPpc) for the Balkan countries was estimated. The low level of financial inclusion on the Balkan region produces an underinvestment of human capital and affects the low-income households, leading to an increase in inequality. Low levels of equality and capital stock negatively impact economic growth.
目的:本文旨在估计2001-2017年巴尔干国家不平等对经济增长的影响。此外,还估计了资本存量对巴尔干国家人均国内生产总值(GDPpc)的影响。巴尔干地区的金融包容性水平较低,造成人力资本投资不足,影响到低收入家庭,导致不平等加剧。低水平的平等和资本存量对经济增长产生负面影响。
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引用次数: 0
Corporate Social Responsibility, Environmental Pollution, and Stock Market Reaction 企业社会责任、环境污染与股市反应
Pub Date : 2021-06-01 DOI: 10.25103/ijbesar.141.03
Ya-Fang Wang
Purpose: This paper analyzes whether and how the environmental protection concern of corporate social responsibility companies affects market participants’ perceptions by examining the nature and structure of corporate social responsibility companies.
目的:通过考察企业社会责任公司的性质和结构,分析企业社会责任企业的环境保护关注是否以及如何影响市场参与者的感知。
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引用次数: 1
Financial Reporting Material Misstatements, Earnings Conservatism and Managerial Replacement Decisions 财务报告材料错误、盈余保守主义与管理层更替决策
Pub Date : 2021-06-01 DOI: 10.25103/ijbesar.141.01
Jo-Ting Wei
Purpose: Based on signal theory and legitimacy theory, this paper examines whether firms with financial reporting misstatements (restatements) would prefer conservative financial reporting to send signals regarding their determinants of improving financial reporting credibility and legitimate organizational image in Taiwan. This paper further examines whether these firms reduce the demand for conservative financial reporting after replacing managers in the reveal of restatements.
摘要目的:本研究以讯号理论与正当性理论为基础,探讨台湾存在财务报告错报(重述)的企业是否倾向于保守型财务报告,以传递讯号,以提升财务报告可信度与合法组织形象。本文进一步考察了这些公司在更换管理者披露重述后是否减少了对保守财务报告的需求。
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引用次数: 0
期刊
International Journal of Business and Economic Sciences Applied Research
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