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حسن رضایی مصطفی سلیمی فر

چکیده

توسعه بازارهای مالی به عنوان یکی از عوامل مهم در فرایند رشد اقتصادی همواره مورد توجه اقتصاددانان بوده است . هدف این مقاله مطالعه رابطه بین توسعه مالی منطقه ای و رشد اقتصاد ی است . برای این منظور با استفاده از آمارهای استانی طی سال های 1390-1379 به صورت ترکیبی از تکنیک هم انباشتگی پانل برای آزمون و تخمین رابطه تعادلی بلند مدت بین متغیرها استفاده شده است . نتایج نشان دهنده وجود روابط تعادلی بلند مدت بین متغیرها است . در کوتاه مدت از متغیر توسعه بورس به متغیر توسعه بانکی رابطه علیت وجود ندارد اما در مورد سایر متغیرها در کوتاه مدت و بلندمدت رابطه علیت دو طرفه وجود دارد . در بلند مدت نوسانات مربوط به تولید ناخالص داخلی عمدتاً توسط تولید ناخالص داخلی(70/59%) ، تکانه های مربوط به بخش بورس(74/29%) ، بیمه (07/10%) و مقدار ناچیزی توسط متغیر توسعه بانکی (49/0%) توضیح داده می شود .

جزئیات مقاله

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ارجاع به مقاله
رضاییح., & سلیمی فرم. (2015). رابطه توسعه مالی منطقه ای و رشد اقتصاد ی (تحلیل مبتنی بر داده های تابلویی). پژوهش های اقتصاد و توسعه منطقه ای, 22(9), 68-94. https://doi.org/10.22067/erd.v22i9.40262
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