The effect of inflation on financial development : evidence from selected developing countries
The main objectives of this research is to study the effect of inflation on financial development for 23 selected developing countries worldwide for the period 2000 to 2014. The dependent variable for financial sector performances is measured by credit provided to private sectors, and money supply(M...
| Main Author: | Mtepa, Pilly Hamisi |
|---|---|
| Format: | Thesis |
| Language: | English English |
| Published: |
2016
|
| Subjects: | |
| Online Access: | https://etd.uum.edu.my/7392/1/s818423_01.pdf https://etd.uum.edu.my/7392/2/s818423_02.pdf https://etd.uum.edu.my/7392/ |
| Abstract | Abstract here |
Similar Items
The effect of financial integration on financial development: Evidence from ASEAN countries
by: Syarifah Intan Munirah, Sayed Mahadzir
Published: (2017)
by: Syarifah Intan Munirah, Sayed Mahadzir
Published: (2017)
Determinants of inflation: Evidence from ASEAN-5 countries
by: Farah Dina, Zakaria
Published: (2016)
by: Farah Dina, Zakaria
Published: (2016)
Relationship between money growth and inflation : Empirical evidence from Nigeria
by: Hassan, Jakada Aminu
Published: (2015)
by: Hassan, Jakada Aminu
Published: (2015)
Financial development institutions and economic growth in the selected Asean-3 countries
by: Muhammad Sodbir, Hamzah
Published: (2022)
by: Muhammad Sodbir, Hamzah
Published: (2022)
Inflation and macroeconomic variables : evidence from panel data
by: Ruphajivany, Sanjeven
Published: (2018)
by: Ruphajivany, Sanjeven
Published: (2018)
Financial development and economic growth : evidence from panel data
by: Yugindri, Baskaran
Published: (2018)
by: Yugindri, Baskaran
Published: (2018)
Bank stock returns and macroeconomic variables:
Empirical evidence from selected ASEAN countries
by: Mohammed, Ahmed Jasim
Published: (2015)
by: Mohammed, Ahmed Jasim
Published: (2015)
The impact of macroeconomic factors on the emerging stock markets performance: evidence from selected countries
by: Hu, Sizhe
Published: (2018)
by: Hu, Sizhe
Published: (2018)
The relationship between macroeconomic variables and non performing loan: evidence from selected ASEAN countries
by: Noor Azean Azdzila, Zulkifli
Published: (2017)
by: Noor Azean Azdzila, Zulkifli
Published: (2017)
The effects of regulation, banking development and selected economic forces on stock market development in African countries
by: Bamanga, Umar
Published: (2019)
by: Bamanga, Umar
Published: (2019)
Financial development and economic growth based on panel evidence from developed and developing countries
by: Abdullahi, Abubakar
Published: (2012)
by: Abdullahi, Abubakar
Published: (2012)
Sources of Inflation in Algeria; 1970-2009
by: Baba, Boubekuer
Published: (2012)
by: Baba, Boubekuer
Published: (2012)
Inflation and Economic Growth Nexus in Egypt
by: Bey, Mousaab
Published: (2012)
by: Bey, Mousaab
Published: (2012)
The effects of systematic risks on bank asset quality : evidence from organisation of the petroleum exporting countries (OPEC)
by: Idris, Isma'il Tijjani
Published: (2017)
by: Idris, Isma'il Tijjani
Published: (2017)
Determinants of financial stability of conventional and Islamic banks in GCC and selected non-GCC countries
by: Mohammad, Ahmed Rufai
Published: (2020)
by: Mohammad, Ahmed Rufai
Published: (2020)
Evaluating the impact of inflation on stock market in China
by: Dengke, Li
Published: (2015)
by: Dengke, Li
Published: (2015)
Foreign Direct Investment And Manufacturing Growth Nexus : Evidence From ASEAN - 4 Countries
by: Marwan, Hj. Hashim @ Hassim
Published: (2001)
by: Marwan, Hj. Hashim @ Hassim
Published: (2001)
The determinants of Sukuk market development in selected Gulf Cooperation Council (GCC) countries
by: Alraeai, Arafat Mansoor Ahmed
Published: (2019)
by: Alraeai, Arafat Mansoor Ahmed
Published: (2019)
Monetary Policy, Inflation Rate, and Stock Market in Malaysia
by: Yeap, Sin Yean
Published: (2004)
by: Yeap, Sin Yean
Published: (2004)
Stock market integration in the presence of the leading macroeconomic indicators: empirical evidence from 30 countries
by: Lim, Shu Ern
Published: (2021)
by: Lim, Shu Ern
Published: (2021)
Financial development and economic growth: evidence from panel data
by: Nurzamira, Ahmat
Published: (2016)
by: Nurzamira, Ahmat
Published: (2016)
The impact of financial reforms and institutional quality on economic growth of five selected sub-Saharan African countries
by: Aliyara, Abdulhadi Haruna
Published: (2021)
by: Aliyara, Abdulhadi Haruna
Published: (2021)
The impact of capital structure on Islamic banks performance: evidence from gulf cooperation council (GCC) countries
by: Menacer, Abdesslam
Published: (2020)
by: Menacer, Abdesslam
Published: (2020)
Relationship between corporate governance and financial statement fraud : Evidence from Malaysia
by: Laila Rasyiqah, Zainal Abidin
Published: (2023)
by: Laila Rasyiqah, Zainal Abidin
Published: (2023)
The influence of R&D activities on the financial performance of firms: Evidence from Malaysia
by: Fayad, Abdallah A.S.
Published: (2019)
by: Fayad, Abdallah A.S.
Published: (2019)
Efficiency of Islamic and conventional banks during financial crisis: Empirical evidence from Malaysia
by: Fatin Syazwani, Safiyuddin
Published: (2014)
by: Fatin Syazwani, Safiyuddin
Published: (2014)
Factors affecting sukuk market, bond market, Islamic banking and conventional banking development in selected countries
by: Aman, Ameenullah
Published: (2020)
by: Aman, Ameenullah
Published: (2020)
The impacts of inflation on poverty and income distribution in ASEAN
by: Nur Aireen Syahirah, Azhar
Published: (2020)
by: Nur Aireen Syahirah, Azhar
Published: (2020)
Comparative analysis of financial risks towards financial stability of Islamic and conventional banks in GCC countries
by: Al-Wesabi, Hamid Abdulkhaleq Hasan
Published: (2022)
by: Al-Wesabi, Hamid Abdulkhaleq Hasan
Published: (2022)
The impact of financial integration on banking system efficiency in ASEAN countries
by: Hamizah, Mahmud
Published: (2017)
by: Hamizah, Mahmud
Published: (2017)
The mediating role of innovation between corporate governance and firm financial performance: evidence from Pakistan
by: Akram, Farheen
Published: (2018)
by: Akram, Farheen
Published: (2018)
Relationship between covid-19, digital financial services and economic growth: evidence from panel data
by: Nur Shafiqah, Mohd Yusoff
Published: (2022)
by: Nur Shafiqah, Mohd Yusoff
Published: (2022)
The relationship between macroeconomic variables and foreign direct investment: Evidence from asean-5 countries
by: Naqiuddin Naqib, Mohamad Khairi
Published: (2020)
by: Naqiuddin Naqib, Mohamad Khairi
Published: (2020)
Analysis of financial performance of the commercial banks in the Gulf Cooperation Council (GCC) countries
by: Al-Yousfi, Abdulazeez Yousef Hazzaa Saif
Published: (2017)
by: Al-Yousfi, Abdulazeez Yousef Hazzaa Saif
Published: (2017)
The relationship between macroeconomic factors and
business bankruptcy in developing countries
by: Siti Aishah, Ibrahim
Published: (2020)
by: Siti Aishah, Ibrahim
Published: (2020)
Financial inclusion and Islamic financial system: measurement and impact assessment in a cross-country analysis / Nur Amirah Borhan
by: Borhan, Nur Amirah
Published: (2023)
by: Borhan, Nur Amirah
Published: (2023)
Financial crises and economic growth: evidence from developing countries / Salah Belghoul
by: Belghoul, Salah
Published: (2022)
by: Belghoul, Salah
Published: (2022)
The Impact Of Corruption, Country Governance Indicators And Loan Portfolio Concentration On Nonperforming Loans Of Three Selected South Asian Countries
by: Rehman, Abdul
Published: (2022)
by: Rehman, Abdul
Published: (2022)
The Relationship between Interest Rate, Exchange Rate, Inflation Rate and GDP to Foreign Direct Investment Inflows in Malaysia
by: Mohd Sufli, Yusof
Published: (2009)
by: Mohd Sufli, Yusof
Published: (2009)
The Effect of Mergers on the Efficiency of Commercial Banks: Evidence From Malaysia.
by: Muhammad Hafiz, Desa
Published: (2007)
by: Muhammad Hafiz, Desa
Published: (2007)
Similar Items
-
The effect of financial integration on financial development: Evidence from ASEAN countries
by: Syarifah Intan Munirah, Sayed Mahadzir
Published: (2017) -
Determinants of inflation: Evidence from ASEAN-5 countries
by: Farah Dina, Zakaria
Published: (2016) -
Relationship between money growth and inflation : Empirical evidence from Nigeria
by: Hassan, Jakada Aminu
Published: (2015) -
Financial development institutions and economic growth in the selected Asean-3 countries
by: Muhammad Sodbir, Hamzah
Published: (2022) -
Inflation and macroeconomic variables : evidence from panel data
by: Ruphajivany, Sanjeven
Published: (2018)