用非对称协整检验考察通胀对脆弱五国金融发展的影响

IF 0.3 Q4 ECONOMICS Sosyoekonomi Pub Date : 2024-07-21 DOI:10.17233/sosyoekonomi.2024.03.03
Yunus Gülcü
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引用次数: 0

摘要

本研究探讨了 1981 至 2021 年间 "脆弱五国 "通货膨胀与金融发展指标之间的关系。研究分析了对称和非对称分布式滞后回归模型之间的关系。除巴西和印度外,通货膨胀似乎对其他国家的金融发展产生了负面影响。结果证明,在 "脆弱五国 "中,印度经历的修正过程最长,印度尼西亚经历的修正过程最短。研究结果强调,高通胀会增加金融中介成本,从而对这些经济体的金融发展产生负面影响。
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Examining The Impact of Inflation on Financial Development in The Fragile Five Economies with Asymmetric Cointegration Tests
This study examines the relationship between inflation and financial development indicators for the Fragile Five countries between 1981 and 2021. The study analysed the relationship between symmetric and asymmetric distributed lag regression models. Inflation appears to have a negative impact on financial development in countries other than Brazil and India. The results prove that the most extended correction process was experienced in India, and the shortest was experienced in Indonesia among the Fragile Five countries. Research results emphasise that high inflation negatively affects financial development in these economies by increasing the cost of financial intermediation.
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来源期刊
Sosyoekonomi
Sosyoekonomi ECONOMICS-
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