Q2 2023

Examining financial growth nexus of emerging European countries

Nafisa Ahmad · Md. Abul Kalam Azad
10.1108/reps-11-2022-0090 384 المشاهدات 1 الاقتباسات
1
الاقتباسات
384
المشاهدات
الملخص

PurposeBesides the extensive research on managerial efficiency in the financial sector worldwide, emerging economies in Europe remain untapped. This research scrutinises the impact of managerial performance and competitive structures on their financial industry growth in terms of services they offer and ability to liquefy stock in capital markets.Design/methodology/approachThis study contains data from selected emerging European countries' during the period of 2010–2020. This study uses data from the Heritage Foundation's Index of Economic Freedom to control for firm-level indicators. The fixed-effects (FE) method was used to explore the nexus between financial sector growth and management performance as well as competitive firm structure.FindingsThe findings provide evidence of the existing impact of firm indicators on the financial sector's growth. Two-step system the generalized method of moments (GMM) estimations are used for the robustness check of the authors' model. Whilst on a scavenger hunt through existing literature, the authors realise that there is an overwhelming lack of enthusiasm in this field.Originality/valueWith the intention of better assessment, the authors use regulatory contextual variables to look for any possible impacts and surprisingly discover a pattern in the financial growth nexus.

الاستشهاد بهذا المقال (APA)
Nafisa, A., Md., A. K. A. (2023). Examining financial growth nexus of emerging European countries. Review of Economics and Political Science. https://doi.org/10.1108/reps-11-2022-0090
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الوصول
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نُشر في
الرقم الدولي ISSN 2356-9980
الربعية Q2
درجة المؤشر القياس العربي 88
التخصص Economics & Finance
الناشر Faculty of Economics and Political
الدولة 🇪🇬 Egypt
عرض ملف المجلة →
المؤلفون
تفاصيل النشر
السنة 2023
اللغة English
أُضيف في 30 Jul 2026