Results 111 to 120 of about 33,619 (222)

El canal del crédito bancario en Colombia: 1995-2005. Una aproximación mediante modelos de umbral

open access: yesLecturas de Economía, 2007
El canal del crédito bancario, que amplifica los efectos del canal tradicional de la política monetaria, hace énfasis en la estructura y las fricciones del mercado financiero como determinantes del gasto agregado.
María Isabel Restrepo   +1 more
doaj  

Encoding Behavior Commonalities In Global Stock Market Indexes: Unsupervised Machine Learning Approach

open access: yesECONOMICS
In recent times there is a consensus that the stock market is a dynamic and complex system, with some factors difficult to assess and are highly unpredictable that can cause disruptions. While the influence of crises and uncertainties on individual stock
Suresh Vidya   +2 more
doaj   +1 more source

Impact of Financial Development and Trade Liberalization on Economic Growth in Iran [PDF]

open access: yesپژوهشهای اقتصادی, 2010
Economic liberalization policy has been among the major concern of the governments during the last few decades. However, its impact on economic growth is still a controversial issue.
ahmad jafari samimi   +3 more
doaj  

Bitcoin mempool growth and trading volumes: Integrated approach based on QROF Multi-SWARA and aggregation operators

open access: yesJournal of Innovation & Knowledge, 2023
Investors are looking for objects in which they invest their funds successfully, evaluating the effectiveness of alternative markets and their instruments.
Alexey Mikhaylov   +4 more
doaj  

Towards the hedonic modelling and determinants of real estates price in Morocco

open access: yesSocial Sciences and Humanities Open, 2021
In this paper, we propose a new approach to modeling a real estate price index in Morocco, based on the hedonic regression approach. The basic idea of this paper is to verify the importance of the characteristics of the real estate in the real estate ...
Firano Zakaria, Filali A. Fatine
doaj  

Does monetary policy affect bank risk-taking? [PDF]

open access: yes
This paper investigates the relationship between short-term interest rates and bank risk. Using a unique database that includes quarterly balance sheet information for listed banks operating in the European Union and the United States in the last decade,
Altunbas, Yener   +2 more
core  

Sovereign credit ratings and financial markets linkages: application to European data [PDF]

open access: yes
We use EU sovereign bond yield and CDS spreads daily data to carry out an event study analysis on the reaction of government yield spreads before and after announcements from rating agencies (Standard & Poor’s, Moody’s, Fitch).
Afonso, António   +2 more
core   +3 more sources

Monetary policy and financial stability in emerging market economies

open access: yesLatin American Journal of Central Banking, 2020
During the 1990s and early 2000s, the consensus was that central banks had to adjust interest rates only in response to inflation and (possibly) output. Such consensus was questioned in the aftermath of the Global Financial Crisis, as well as during the ...
Martin Tobal, Lorenzo Menna
doaj  

Application of Fuzzy AHP in Priority Based Selection of Financial Indices: A Perspective for Investors

open access: yesECONOMICS
By providing important indicators, financial indices help investors make educated judgements regarding their assets, much like vital sign monitors for the financial markets.
Jana Subrata   +5 more
doaj   +1 more source

Comparing Exchange Market Pressure in West and Southern African Countries [PDF]

open access: yes
We compare the performance of Cape Verde and Mozambique concerning financial credibility as measured by Exchange Market Pressure, an institutional feature that has often been overlooked in the literature as a relevant institution for economies.
Lopes, Jose Mario, Santos, Fabio
core  

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