The dynamics of bond market development, stock market development and economic growth: Evidence from the G-20 countries

RP Pradhan, MB Arvin, NR Norman… - Journal of Economics …, 2020 - emerald.com
Purpose The paper investigates whether Granger causal relationships exist between bond
market development, stock market development, economic growth and two other …

Fiscal sustainability in developing Asia–new evidence from panel correlated common effect model

DT Bui - Journal of Asian Business and Economic Studies, 2020 - emerald.com
Purpose The purpose of this paper is to investigate the problem of fiscal sustainability for a
panel of developing Asian economies. Design/methodology/approach In this study, cross …

Symmetric and asymmetric nexus between economic freedom and stock market development in Pakistan

K Islam, AR Bilal, SAH Zaidi - Economic Change and Restructuring, 2022 - Springer
This study investigates symmetric and asymmetric association between the economic
freedom index and sustainable stock market development (SMD) in Pakistan. Economic …

The non-linear impact of monetary policy on shifts in economic policy uncertainty: evidence from the United States of America

B Dima, ȘM Dima - Empirica, 2024 - Springer
A stochastic volatility estimation of VIX index's latent volatility is used for the United States of
America, as a proxy for the adjustments in the levels of investors' uncertainty related to …

The asymmetric impact of fiscal policy on an emerging stock market

CL Lee, CP Ng, CM Koh… - Asian Economics …, 2022 - ael.scholasticahq.com
This study investigated the asymmetric impact of fiscal policy on Malaysia's stock market. It
discovered that fiscal policy has no impact on the stock market performance in the long run …

[PDF][PDF] Monetary and Fiscal Policy Shocks on the Stock Market Performance in the United States: Evidence from the SVAR Framework

A Emamian, NS Mazlan - Int. Trans. J. Eng. Manag. Appl. Sci …, 2021 - researchgate.net
Evidence from studies of monetary and fiscal policy shocks on the stock market is still
arguable not only for researchers but also for central banks and governments. In addition …

Evaluation of the effect of financial policies on Capital Market investment in financial friction

M Aghaei, A Najafi Moghadam, S Shahverdiani… - Journal of Investment …, 2024 - jik-ifea.ir
This study evaluates the effect of financial policies on stock market investment in financial
friction conditions. For this purpose, two models were designed based on financial policies …

Stock Market Responses to Monetary and Fiscal Policies: Case Studing China, India, Indonesia, and Malaysia

E Erer, D Erer - Handbook of Research on Current Trends in Asian …, 2022 - igi-global.com
This study analyzes the short-run and long-run effects of interaction between fiscal and
monetary policies on stock market performance in four emerging Asian economies, which …

[PDF][PDF] Analysis of the Effect of Financial and Economic Indicators on Stock Market Depth Indicators: Case Study of Selected Developing Countries

E Anvari, E Takband… - The Journal of Economic …, 2023 - economic.mofidu.ac.ir
In national economic cycle the financial sector as most important intermediaries in the
optimal, allocation of resources is one of the most important elements of economic growth …

Fiscal and Monetary Policy Interactions in Malaysia: Coordination or Conflict?

VKS Liew, J Tuyon - Available at SSRN 4641110 - papers.ssrn.com
Heightened monetary-fiscal policies are paramount in times of crisis with greater uncertainty
and remain a significant concern in emerging markets of Asia. Advancing this line of …