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1

Kim, Pilhyun. "Three essays on financial development and economic growth." Columbus, Ohio : Ohio State University, 2006. http://rave.ohiolink.edu/etdc/view?acc%5Fnum=osu1141086209.

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2

Åhlander, Karl. "Aspects of modern treasury management : organization and external financial activities in Swedish MNCs." Doctoral thesis, Handelshögskolan i Stockholm, Institute of International Business (IIB), 1990. http://urn.kb.se/resolve?urn=urn:nbn:se:hhs:diva-1905.

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3

Youssim, Iaroslav. "Social Determinants of Economic Behavior of Older Adults in Europe." Doctoral thesis, Università degli studi di Padova, 2015. http://hdl.handle.net/11577/3424254.

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This PhD thesis contributes to the growing economic literature which studies effects of social and cultural variables on economic behavior of older adults in Europe. Landes, cited in Guiso et al. (2006), states that "if we learn anything from the history of economic development, it is that culture makes all the difference” (p. 29). Indeed, in the recent years economists put an effort to apply their analytical frameworks and empirical tools to study the role of culture on economic outcomes (Guiso et al., 2006). Many studies have already linked economic outcomes directly to cultural differences.
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4

Привалов, Станіслав Юрійович, та Stanislav Yuriiovych Pryvalov. "Соціально-економічні аспекти діяльності підприємств". Bachelor's thesis, СумДПУ імені А. С. Макаренка, 2021. http://repository.sspu.edu.ua/handle/123456789/11474.

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Проаналізовано механізм удосконалення соціально-економічного розвитку ТОВ «Керамейя» та визначено сутність соціально-економічних аспектів розвитку підприємства. Охарактеризовано методичні основи та підходи до забезпечення ефективності функціонування підприємства, визначена загальна характеристика розвитку та ефективного забезпечення управління ТОВ «Керамейя». Проведено аналіз фінансово-господарської діяльності ТОВ «Керамейя» та сформовано основні підходи щодо удосконалення соціально-економічного розвитку ТОВ «Керамейя».<br>The mechanism of improvement of social and economic development of LLC
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5

Kuijper, Ruben Daniël. "Earnings management and real activities manipulation in M&A." reponame:Repositório Institucional do FGV, 2016. http://hdl.handle.net/10438/17781.

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Submitted by Ruben Kuijper (rubenkuijper@live.nl) on 2016-10-31T12:22:44Z No. of bitstreams: 1 fgv_thesis_334875.pdf: 825817 bytes, checksum: b3a16060bbfc6e618b215abd550a5ed2 (MD5)<br>Rejected by Joana Martorini (joana.martorini@fgv.br), reason: Ruben, seu trabalho foi rejeitado devido a correção porém "GETULIO" não tem acento. Favor retirar e postar o seu trabalho novamente. on 2016-11-07T18:29:22Z (GMT)<br>Submitted by Ruben Kuijper (rubenkuijper@live.nl) on 2017-01-19T07:17:50Z No. of bitstreams: 1 fgv_thesis_334875.pdf: 825817 bytes, checksum: b3a16060bbfc6e618b215abd550a5ed2 (MD5)<br>
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Mtero, Farai. "The informal sector : micro-enterprise activities and livelihoods in Makana Municipality, South Africa." Thesis, Rhodes University, 2008. http://hdl.handle.net/10962/d1007706.

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This study examines the nature and characteristics of the informal sector within the Makana municipal area in South Africa. The focus is on the socio-economic characteristics of the informal sector operatives; operational characteristics of the microenterprises that we studied, such as longevity, employment generation, growth potential, and linkages of the informal sector with the formal sector of the economy. Extensive studies on the informal sector have been conducted in many parts of the world relative to South Africa. The key finding in most of these researches is that the informal sector
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7

Matulis, Mindaugas. "Lietuvos įmonių sistemos analizė." Master's thesis, Lithuanian Academic Libraries Network (LABT), 2012. http://vddb.laba.lt/obj/LT-eLABa-0001:E.02~2012~D_20120125_101159-06334.

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Magistro baigiamajame darbe išanalizuota ir įvertinta dabartinė Lietuvos įmonių sistema, iškeltos šalies verslo plėtros problemos ir apibendrinus tyrimo rezultatus pateikti siūlymai. Magistro darbas sudarytas iš trijų pagrindinių dalių. Pirmoje šio darbo dalyje, remiantis įvairiais moksliniais šaltiniais, yra analizuojama ir apibrėžiama įmonės samprata ir jos svarba šiuolaikinės organizacijos kontekste. Antroje šio darbo dalyje analizuojama įmonių steigimo tvarka, apibrėžiami įmonių verslo aplinkos ypatumai bei analizuojami mokestiniai įmonių veiklos aspektai. Trečia magistro tiriamojo darbo d
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8

Баранова, К. І. "Роль оборотних коштів у фінансово-господарській діяльності підприємства та шляхи вдосконалення їх використання". Master's thesis, Сумський державний університет, 2021. https://essuir.sumdu.edu.ua/handle/123456789/87144.

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У кваліфікаційній роботі магістра визначено економічну сутність оборотних коштів та їх роль в діяльності підприємства, досліджено методичне забезпечення оцінки ефективності використання оборотних засобів, проведено економічну характеристику ПАТ «Сумихімпром», проаналізовано показники фінансово-економічної діяльності підприємства, проаналізовано склад та структуру обігових засобів, проведено оцінку ефективності використання підприємством оборотних засобів, визначено напрями покращення використання оборотних коштів на ПАТ «Сумихімпром».
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9

Mihályová, Tereza. "Analýza hospodaření mateřské a dceřinné společnosti." Master's thesis, Vysoká škola ekonomická v Praze, 2015. http://www.nusl.cz/ntk/nusl-264506.

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The main target of this graduation thesis is to make an analysis of economic actvities of parent company and subsidiary company. The financial situation of this two companies is compared. The main emphasis is placed on the standard data of economic activities along with the less frequently declared informations. The analysis is made for both companies in the years 2012, 2013 and 2014. In the first part of the thesis are theoretically defined financial analysis, bankrupcy and creditability models and semi structured interviews. Subsequently are both of companies presented and there is also the
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10

Захаров, О. О. "Підходи до формування еколого-економічного механізму підприємства (на прикладі ПАТ "Сумихімпром")". Master's thesis, Сумьский державний університет, 2019. http://essuir.sumdu.edu.ua/handle/123456789/76089.

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В першому розділі «Теоретико-методологічні основи аналізу еколого-економічного механізму діяльності» розглянуті еколого-економічний механізм діяльності, фінансування на різних рівнях господарювання. В другому розділі «Дослідження основних складових еколого-економічного механізму діяльності підприємства» розглянуті детально екологічне страхування, інвестування в природоохоронні заходи. В третьому розділі «Напрямки удосконалення еколого-економічного механізму діяльності підприємства” проведено дослідження еколого-економічного механізму діяльності ПАТ «Сумихімпром», виявлені його недоліки, розр
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11

Bühn, Andreas. "Informal Economic Activities." Doctoral thesis, Saechsische Landesbibliothek- Staats- und Universitaetsbibliothek Dresden, 2010. http://nbn-resolving.de/urn:nbn:de:bsz:14-qucosa-39326.

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The dissertation “Informal Economic Activities” takes a comprehensive approach to the informal economy by studying traditional shadow economic activities, household DIY activities, and the smuggling of illegal and legal goods. Chapter 2 analyzes shadow economic and DIY activities and presents a dual estimation for the development of both types of informal economic activities in Germany from 1970 to 2005. It also considers the impact of German reunification on shadow economic and DIY activities and employs a proper estimate of domestic currency in circulation within Germany as an indicator var
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12

Деревянко, Богдан Володимирович, та Bogdan Derevyanko. "Щодо підвищення ефективності використання майна навчальних закладів". Thesis, Тернопіль : Юридична лінія, 2012. http://dspace.puet.edu.ua/handle/123456789/6744.

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У збільшенні майнової бази навчальних закладів крім них самих повинні бути зацікавлені держава і суспільство. Проте якщо держава повинна фінансувати сферу освіти, на що вказує норма пункту 2 статті 61 Закону України «Про освіту», а тому й за посередництва відповідних міністерств здійснювати забезпечення навчальних закладів майном, то недержавні суб’єкти господарювання та окремі громадяни й іноземці не мають зобов’язань щодо забезпечення майном українських навчальних закладів. Здійснювати це вони можуть із власної ініціативи і з певною власною метою. Ця мета може мати позитивну природу, а може
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13

Остапенко, Олена Анатоліївна, та Olena Anatoliivna Ostapenko. "Діагностика фінансово-економічної діяльності підприємства та можливості поліпшення її результатів". Master's thesis, СумДПУ імені А. С. Макаренка, 2021. http://repository.sspu.edu.ua/handle/123456789/12069.

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Об’єкт дослідження – фінансово-економічна діяльність ТОВ «Медтехніка-Суми». Предметом дослідження є принципи, методи та практичні аспекти діагностики фінансово-економічної діяльності підприємства та підвищення її ефективності. Мета магістерської роботи – діагностика фінансово-економічної діяльності підприємства та розробка й обґрунтування пропозицій щодо підвищення її результативності. У магістерській роботі розглянуто теоретичні та методичні засади діагностики фінансово-економічної діяльності підприємства, досліджено можливості підвищення результативності фінансово-економічної діяльності
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14

Wilting, Harm Christiaan. "An energy perspective on economic activities." [S.l. : [Groningen] : s.n.] ; [University Library Groningen] [Host], 1996. http://irs.ub.rug.nl/ppn/153035323.

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15

Yue, Feng. "Financial constraints and firms’ activities in China." Thesis, Durham University, 2011. http://etheses.dur.ac.uk/1407/.

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The understanding the effects of financial constraints and firms’ activities is an important issue from both macroeconomics and microeconomics perspectives. The recent development of the asymmetric information approach has established a link between finance and the real activity. A good understanding of the effects of financial constraints and firms’ activities would provide valuable information about the mechanism through which monetary policy affects real economic activities and the understanding of the macroeconomic dynamics. From a microeconomics perspective, the study of the effects of fi
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16

Acar, Emmanuel. "Economic evaluation of financial forecasting." Thesis, City University London, 1993. http://openaccess.city.ac.uk/8256/.

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This thesis examines the economic evaluation of forecasting strategies based on past prices, bringing together academics and practitioners techniques Forecasting methods based on past prices are convex and path-dependent dynamic strategies Therefore, they must be able to profitably exploit positive serial dependences in financial prices The most important measure of financial forecasting ability is the rate of return achieved by the predictor The expected return of forecasting strategies is first investigated by applying stochastic modelling Then, the presence of serial dependences in financia
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17

Braun, Eduard. "Financial markets and economic growth." Angers, 2011. https://theses.hal.science/tel-00968723.

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La présente thèse est une contribution à l'analyse des relations entre économie réelle et économie monétaire. Nous comblons les déficits correspondants dans la littérature scientifique. Nous concluons que le concept classique du "fond de salaire" est essentiellement valide et peut donc être utilisé, avec quelques modifications, dans l'analyse macroéconomique du marché financier. Cette approche facilite l'étude et la description exactes des fonctions réelles accomplies par le marché financier. Nous soutenons que la fonction de ce marché consiste à diriger le fond des biens de consommation dispo
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18

Taghipour, Anoshirvan. "Essays on financial policies, financial development and economic growth." Thesis, University of Essex, 2009. http://ethos.bl.uk/OrderDetails.do?uin=uk.bl.ethos.495772.

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19

Atiq, Zeeshan. "Essays on financial liberalisation, financial crises and economic growth." Thesis, University of Manchester, 2014. https://www.research.manchester.ac.uk/portal/en/theses/essays-on-financial-liberalisation-financial-crises-and-economic-growth(8ebde51d-189b-40e9-a4e1-098b8880301e).html.

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This thesis investigates the impact of financial liberalisation policies on finance-growth relationship and financial crises. Analysis of recent trends and economic performance of financially developed and stable economies raises at least two very important questions that seem to have strong analytical connections. The first question is associated with the link between financial development and economic growth and the second question focuses the possible association between the policies of financial liberalisation and financial vulnerability. In this thesis we aim to shed light on some of the
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20

Ravet, Julien. "Corporate R&D activities, financing constraints, performance and diversification." Doctoral thesis, Universite Libre de Bruxelles, 2012. http://hdl.handle.net/2013/ULB-DIPOT:oai:dipot.ulb.ac.be:2013/209694.

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This thesis proposes to enlighten several channels that favor the emergence and the outcome of creative ideas and innovation in general amongst private firms, with a particular focus on European companies. The first chapter introduces the motivations related to this research, defines the research objectives and questions addressed by the dissertation and concludes with the outline and the contributions of the thesis. <p><p>The second chapter analyzes the financing constraints on R&D investments. The central question in this chapter is whether financing constraints can explain a part of the ack
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21

Kamal, Lillian T. "Predicting inflation, and the relationship between financial integration, financial development and economic growth." Morgantown, W. Va. : [West Virginia University Libraries], 2006. https://eidr.wvu.edu/etd/documentdata.eTD?documentid=4618.

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Thesis (Ph. D.)--West Virginia University, 2006.<br>Title from document title page. Document formatted into pages; contains v, 95 p. : ill. (some col.). Includes abstract. Includes bibliographical references.
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22

Mokbel, Rita. "Systemic risk in financial economic institutions." Thesis, Besançon, 2016. http://www.theses.fr/2016BESA2080.

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Les crises financières et les problèmes se formaient mais les indicateurs ne sont pas précis pour permettre une intervention réglementaire. La thèse propose un modèle dynamique pour le système bancaire avec une banque centrale afin de calculer un indicateur de faillite en fonction de la probabilité qu'une banque soit en faillite et les pertes rencontrées dans le réseau financier, une méthodologie qui peut améliorer la mesure, le suivi et la gestion du risque systémique.La thèse propose également des mécanismes de compensation : 1- avec un modèle considérant l'ancienneté du passif et avec un ty
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Luger, Richard. "Asymmetries in economic and financial relationships." Thesis, National Library of Canada = Bibliothèque nationale du Canada, 2001. http://www.collectionscanada.ca/obj/s4/f2/dsk3/ftp05/NQ65319.pdf.

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Arner, Douglas W. "Law, financial stability and economic development." Thesis, Queen Mary, University of London, 2005. http://ethos.bl.uk/OrderDetails.do?uin=uk.bl.ethos.424378.

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Adnan, Noureen. "Financial development, economic growth and crises." Thesis, University of Surrey, 2012. http://epubs.surrey.ac.uk/770388/.

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The importance of financial markets in a globalised economy cannot be overstated. An obvious example is the 2008 collapse of Lehman Brothers, the consequences of which were not just confined to the United States but spread to almost all developed economies in the world. On a daily basis movement in the world's stock, bond, commodity and currency markets can be affected by as diverse factors as a revision to the inflation rate in China, an unexpected European Union meeting on the Euro or the announcement of company earnings in the U.S. The link between financial markets and the real economy, th
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Cavalcante, Anderson Tadeu Marques. "Regional financial development and economic growth." Thesis, University of Cambridge, 2012. http://ethos.bl.uk/OrderDetails.do?uin=uk.bl.ethos.610634.

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Tepper, Alexander. "Essays in economic and financial history." Thesis, University of Oxford, 2011. http://ora.ox.ac.uk/objects/uuid:9f10c836-05be-4fe8-ba57-1ce237fa0d9f.

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Division One: “Malthus Gets Fat” (Two Chapters) Chapter One develops a simple dynamic model to examine the takeoff from a Malthusian economy to a modern growth regime. It finds that several factors, most notably the rate of technological progress and the economic structure, determine the fastest rate at which the population can grow without declining living standards; this is termed maximum sustainable population growth. It is only when this maximum sustainable rate exceeds the peak rate at which a society expands that takeoff can occur. I also investigate the effects of trade and internationa
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Manning, Brett. "Does economic inequality cause financial crises?" Thesis, Durham University, 2014. http://etheses.dur.ac.uk/10654/.

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Inequality rose rapidly in the run up to the 1929 stock market crash and the 2007 financial crisis. Both crises precipitated long and deep recessions. This paper seeks to determine if there is any deeper relationship between inequality and financial stability. The work presents an empirical investigation of the topic and theoretical model of how such a relationship could exist. My original contribution to the literature is threefold: (1) the empirical detection of a small interaction between economic inequality and propensity tofinancial crises, (2) the presentation of a novel measure of finan
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Venâncio, Sara Filipa Meixedo. "Does financial development promote economic growth?" Master's thesis, Instituto Superior de Economia e Gestão, 2013. http://hdl.handle.net/10400.5/6301.

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Mestrado em Economia Monetária e Financeira<br>This study investigates the relationship between financial development and economic growth, using two panel of 17 and 19 developed countries, covering the period from 1980 to 2011 and 2000 to 2011, respectively. This study includes variables that measure the development of the financial sector in order to explain the GDP per capita growth, using modified ordinary least squares, fixed and random effects estimations. The results indicate that domestic credit provided by banking sector and domestic credit to the private sector are (in most estimation
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Cadorel, Jean-Laurent. "Essays in Economic and Financial History." Electronic Thesis or Diss., Paris, EHESS, 2025. http://www.theses.fr/2025EHES0025.

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Cette thèse analyse les causes et les effets des crises des marchés financiers. Je cherche à répondre aux questions suivantes : quelles sont les causes des paniques sur les marchés financiers et quelles sont les conséquences des crises sur l'économie réelle ? Mon analyse se déroule dans deux contextes historiques distincts : la première partie de la thèse s’inscrit dans le contexte de l’entre-deux-guerres aux États-Unis et en Europe ; la deuxième partie porte sur la France de 1870 à 2010.Dans les deux premiers chapitres, je démontre que le krach de 1929 de la Bourse de New York n’était pas un
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Godza, Praise G. "Financial structure and economic growth nexus: comparisons of banks, financial markets and economic growth in South Africa." Thesis, University of Fort Hare, 2013. http://hdl.handle.net/10353/921.

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The importance of the financial structure system, which comprises the banking sector and financial markets, to the growth of a country’s economy cannot be underestimated. It is important to analyse comparatively the contribution of each sector to the economic growth of a country. This study, therefore, empirically examined the relationship between financial markets, banks and economic growth in South Africa using time series analysis for the period 1990 to 2011. The study used the Vector Error Correction model (VECM) based causality tests to establish the link between financial structure (repr
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Jackson, Jessie Hyman. "Strategies Church Financial Leaders Use for Financial Sustainability during Economic Crises." Thesis, Walden University, 2018. http://pqdtopen.proquest.com/#viewpdf?dispub=13422045.

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<p> Church financial leaders were affected by the economic crisis after the 2008 recession. In a 2009 group study conducted nationwide with church financial leaders, 57% stated that the economy had a negative effect on their church budgets. The purpose of this qualitative multiple case study was to explore successful strategies that some church financial leaders used to ensure financial sustainability during economic crises. Resource dependence theory was the conceptual framework. Data were collected from 6 church financial leaders at 4 churches in the northeastern region in the United States;
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Fiorentini, Gianluca. "Electoral rules, pressure groups' activities, and economic policies." Thesis, University of Oxford, 1993. http://ethos.bl.uk/OrderDetails.do?uin=uk.bl.ethos.357531.

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Vitalis, Carlito John. "Economic activities and their relation with the environment." Thesis, Видавництво СумДУ, 2011. http://essuir.sumdu.edu.ua/handle/123456789/10008.

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35

Sahin, Evrim. "Evaluation Of The Financial Instruments Within The Conservation Activities." Master's thesis, METU, 2006. http://etd.lib.metu.edu.tr/upload/12607862/index.pdf.

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In Turkey, the immovable cultural properties are conserved by being listed either as single units or as conservation zones in accordance with relative laws and regulations. This legal registration restricts the development rights of these immovable estates. While the owner of the immovable looses the development and the productive rights over his estate, he is also undertaken the maintenance, repair and restoration responsibilities of the building. The purpose of this study is to analyze the achievements and the deficiencies of the financial aids supplied for maintenance, repair and restorati
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Pinto, Pedro Franco de Campos. "Essays on financial macroeconomics." Thesis, London School of Economics and Political Science (University of London), 2016. http://etheses.lse.ac.uk/3620/.

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In this thesis, I study various aspects of the financial system particularly relevant to macroeconomics, focusing on securitization and financial product complexity. The first chapter is devoted to developing a model dealing with the interaction between securitization and recourse (limited liability) laws, and its effect on the housing market. The model finds that securitization of mortgage loans allows originators to pass on risk. As a consequence, investor borrowers start receiving loans, and when these loans are non-recourse, there is a put option that pushes up house prices during a demand
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37

Obizhaeva, Olga A. "Essays in financial economics." Thesis, London School of Economics and Political Science (University of London), 2017. http://etheses.lse.ac.uk/3624/.

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This thesis consists of three essays in financial economics. The first chapter analyses the fundraising process in the hedge fund industry and the role financial intermediaries play in this process. Using the SEC form D filings, I document that broker-sold funds underperform directly-sold funds by 2% (1.6%) per year on a risk-adjusted basis before (after) fees. Also directly-sold funds, on average, have larger average investor’s size, larger minimum investment size, and charge higher performance fees comparing to broker-sold ones. Empirical results are consistent with a stylized model of fundr
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Volpe, Martincus Christian. "Economic integration, fiscal policy, and location of economic activities : the case of Mercosur /." Aachen : Shaker, 2004. http://catalog.hathitrust.org/api/volumes/oclc/70885749.html.

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Deidda, Luca Gabriele. "Interaction between economic growth and financial development." Thesis, SOAS, University of London, 1999. http://ethos.bl.uk/OrderDetails.do?uin=uk.bl.ethos.322050.

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The thesis consists of two parts. Part I investigates the interactive nature of the relationship between financial intermediation and economic growth. The main theoretical results are: a) financial intermediaries emerging as a consequence of agents' maximising behaviour at some critical level of economic development could have a negative impact on economic growth; b) the growth impact of financial institutions, i.e. financial intermediaries and stock markets, changes positively along the process of economic development; c) excessive financial intermediation might occur as a consequence of econ
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Ramirez, Carlos. "Essays on Financial Intermediation and Economic Linkages." Research Showcase @ CMU, 2016. http://repository.cmu.edu/dissertations/774.

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My dissertation studies the impact of economic linkages among market participants on equilibrium outcomes such as asset prices and returns as well as investors’ welfare. The first essay—titled “Inter-firm Relationships and Asset Prices”—studies the asset pricing properties that stem from the propagation of shocks within a network economy and the extent to which such a propagation mechanism quantitatively explains asset market phenomena. I show that changes in the propagation of shocks within a network economy are important to understanding variations in asset prices and returns, both in the ag
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Ghimire, Binam. "Essays on financial development and economic growth." Thesis, Liverpool John Moores University, 2010. http://researchonline.ljmu.ac.uk/6024/.

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Кобушко, Ігор Миколайович, Игорь Николаевич Кобушко, Ihor Mykolaiovych Kobushko, and Victoria Lymar. "Financial-economic mechanism of management an enterprise." Thesis, Видавництво СумДУ, 2007. http://essuir.sumdu.edu.ua/handle/123456789/7987.

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Samargandi, Nahla. "Essays on financial development and economic growth." Thesis, Brunel University, 2015. http://bura.brunel.ac.uk/handle/2438/11071.

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This thesis is based on three empirical essays in financial development and economic growth. The first essay, investigated in the third chapter, the effect of financial development on economic growth in the context of Saudi Arabia, an oil-rich economy. In doing so, the study distinguishes between the effects of financial development on the oil and non-oil sectors of the economy. The Autoregressive Distributed Lag (ARDL) bounds test methodology is applied to yearly data over the period 1968 to 2010. The finding of this study is that financial development has a positive impact on the growth of t
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Li, Zhenxiong. "Essays on financial development and economic performance." Thesis, Lancaster University, 2018. http://eprints.lancs.ac.uk/126388/.

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This thesis attempts to provide empirical evidence for the hotly debated relationship between financial development and economic performance using a variety of time series and panel data methods. Also, it extends the previous finance-growth literature by examining the role of democracy in the process. Three inter-related studies form the work undertaken. Chapter 2: In the first of these the impact of financial development on growth is investigated for the case of China using a range of time-series techniques. The results from this work - which spans almost five decades from 1952 - uncover a bi
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Litvine, Nikolaevich Igor. "Economic and Financial Cycles in South Africa." Thesis, Université de Lorraine, 2016. http://www.theses.fr/2016LORR0240/document.

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Cette thèse est consacrée à l’étude des cycles. Ces derniers sont partout autour de nous, dans la nature comme dans la société. Pour autant, on s’intéressera ici exclusivement aux cycles économiques, financiers, de la demande d’énergie et même à ceux qui caractérisent le changement climatique.Certains de ces cycles sont très réguliers et donc facilement prédictibles; d’autres, par contre, sont clairement périodiques et de ce fait, les prévisions à leur sujet sont empreintes d’une grande incertitude. Les cycles que l’on étudiera dans cette thèse relèvent de cette dernière catégorie.Le travail e
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Xue, Wenjun. "Financial Sector Development, Economic Growth and Stability." FIU Digital Commons, 2018. https://digitalcommons.fiu.edu/etd/3715.

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My dissertation investigates financial sector development, economic growth and stability through the analysis of Chinese and international evidence. My first chapter is the introduction. The second chapter investigates the effects of Chinese financial and fiscal policies on the Chinese economic recovery in the 2008 economic stimulus Plan, covering the period from the Great Recession to 2014. This chapter explores the effects of the increase in bank credit growth with significant strain of banking health on firm-level output, employment and investment. The results demonstrate that the increase
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Chirozva, Gift. "Financial intermediation and economic performance in Zimbabwe." Thesis, Edith Cowan University, Research Online, Perth, Western Australia, 2001. https://ro.ecu.edu.au/theses/1081.

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Financial literature is replete with theoretical and empirical evidence suggesting financial development has a causal effect on economic growth. Yet there is no consensus on the finance-growth nexus. The direction of causality is still controversial In fact, classical economists argue that financial factors are neutral and hence cannot have real effects. Critics argue the traditional methods of identifying long run economic relationships fail to address the methodological conflict between equilibrium implied by theory and the disequilibria in the data. The rise of new representation techniques
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Filippo, Gusella. "Essays on Economic Inequality and Financial Instability." Doctoral thesis, Università di Siena, 2020. http://hdl.handle.net/11365/1105114.

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The present dissertation aims to contribute to the macroeconomic analysis of economic inequality and financial instability in the light of the two important contributions in the field of economics, respectively Capital in the Twenty-First Century by Thomas Piketty and the Financial Instability Hypothesis by Hyman Minsky. The dissertation is composed of three main chapters. Chapter 1 - Thomas Piketty’s Capital in the Twenty-First Century is primarily an empirical investigation into the history of the distribution of income and wealth in developed countries. Piketty, however, goes beyond t
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Doval, Julianna. "Neteisėtas vertimasis ūkine, komercine, finansine ar profesine veikla kaip nusikalstama veika, jos taikymas teismų praktikoje ir atribojimas nuo administracinės teisės pažeidimo." Master's thesis, Lithuanian Academic Libraries Network (LABT), 2015. http://vddb.library.lt/obj/LT-eLABa-0001:E.02~2014~D_20150108_193141-18056.

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Baigiamajame magistro darbe yra pateikiama ir analizuojama neteisėto vertimosi ūkine, komercine, finansine ar profesine veikla normos taikymo problematika, baudžiamosios ir administracinės atsakomybių atribojimo probleminiai kriterijai. Atlikto tyrimo tikslas yra išskirti probleminius šios normos aspektus, juos atskleisti bei apibendrinant mokslinę doktriną ir teismų praktiką pateikti konkrečius normos taikymo sprendimus. Darbe taip pat iškeliama baudžiamosios atsakomybės pagrįstumo bei taikymo sąlygų problematika. Pateikiama užsienio šalių praktika bei alternatyvūs baudžiamosios atsakomybės t
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Steinwender, Claudia. "International and innovation activities of firms." Thesis, London School of Economics and Political Science (University of London), 2014. http://etheses.lse.ac.uk/924/.

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The economic environment in which a firm operates is constantly changing. This thesis contains three essays to examine how firms adapt their innovation and international activities to a variety of external changes. The first paper, “Information Frictions and the Law of One Price: ‘When the States and the Kingdom became United’”, shows how information frictions affect the exporting behavior of merchants, exploiting a unique historical experiment: the transatlantic telegraph, established in 1866. Using a newly collected data set on cotton trade based on historical newspapers, I find that informa
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