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題名:管制資本流入對經濟成長的影響--動態GMM追蹤資料模型之研究
書刊名:臺灣金融財務季刊
作者:王富美 引用關係蔡群立 引用關係黃惠君
作者(外文):Wang, Fuh-meiTsai, Chun-liHuang, Hui-chun
出版日期:2011
卷期:12:4
頁次:頁71-114
主題關鍵詞:資本流入管制動態GMM two step Rebust追蹤資料經濟成長Capital inflow controlsDynamic panel GMMEconomic growth
原始連結:連回原系統網址new window
相關次數:
  • 被引用次數被引用次數:期刊(0) 博士論文(0) 專書(0) 專書論文(0)
  • 排除自我引用排除自我引用:0
  • 共同引用共同引用:4
  • 點閱點閱:42
期刊論文
1.馬千惠(20010300)。資本管制開放與資本移動關係的再探討。中央銀行季刊,23(1),63-93。new window  延伸查詢new window
2.Arellano, Manuel、Bond, Stephen R.(1991)。Some Tests of Specification for Panel Data: Monte Carlo Evidence and an Application to Employment Equations。The Review of Economic Studies,58(2),277-297。  new window
3.Edison, H. J.、Levine, R.、Ricci, L.、Slok, T.(2002)。International Financial Integration and Economic Growth。Journal of International Money and Finance,21(6),749-776。  new window
4.Bekaert, Geert、Harvey, Campbell R.、Lundblad, Christian(2005)。Does Financial Liberalization Spur Growth?。Journal of Financial Economics,77(1),3-55。  new window
5.Chatterji, Monojit(1998)。Tertiary Education and Economic Growth。Regional Studies,32(4),349-354。  new window
6.Alfaro, L.、Chanda, A.、Kalemli-Ozean, S.、Sayek, S.(2004)。FDI and economic growth: The role of local financial markets。Journal of International Economics,64(1),89-112。  new window
7.Ang, J. B.、McKibbin, W. J.(2007)。Financial liberalization, financial sector development and growth: evidence from Malaysia。Journal of Development Economics,84(1),215-233。  new window
8.Blundell, Richard W.、Bond, Stephen R.(1998)。Initial Conditions and Moment Restrictions in Dynamic Panel Data Models。Journal of Econometrics,87(1),115-143。  new window
9.Buch, C. M.、Doepke, J.、Pierdzioch, C.(2005)。Financial Openness and Business Cycle Volatility。Journal of International Money and Finance,24,744-765。  new window
10.Li, X.(2004)。Trade Liberalization and Real Exchange Rate Movement。IMF Staff Papers,51,553-584。  new window
研究報告
1.Edwards, S.(2001)。Capital Mobility and Economic Performance: Are Emerging Economies Different?。  new window
2.Klein, M. W.、Olivei, G.(1999)。Capital Account Liberalization, Financial Depth and Economic Growth。  new window
其他
1.陳茂瑋、林建甫(1999)。亞洲金融危機成因之探討。  延伸查詢new window
2.馮曉明(2001)。資本管制能抵禦金融危機嗎?評智利模式的資本管制。  延伸查詢new window
3.廖俊男(2007)。近期泰國實施資本管制措施及其對金融市場之影響。new window  延伸查詢new window
4.羅慧君(1998)。由IMF 的角色轉變看資本管制與匯率政策的適當性。  延伸查詢new window
5.Aisen, A. and F. J. Veiga(2006)。Does Political Instability Lead to Higher Inflation? A Panel Data Analysis。  new window
6.Asiedu, E. and D. Lien(2004)。Capital Controls and Foreign Direct Investment。  new window
7.Bekaert, G., C. R. Harvey and C. Lundblad(2006)。Growth Volatility and Financial Liberalization。  new window
8.Claessens, S., M. P. Dooley and A. Warner(1995)。Portfolio Capital Flows: Hot or Cold?。  new window
9.Cobbam, A.(2002)。Capital Account Liberalization and Poverty。  new window
10.Edison, H. J. and F. E. Warnock(2003)。A Simple Measure of the Intensity of Capital Control。  new window
11.Edison, H. J., M. W. Klein, L. A. Ricci and T. Slok(2004)。Capital Account Liberalization and Economic Performance: Survey and Synthesis。  new window
12.Edwards, J. A.(2007)。Dynamics of the Cross-Country Growth/Volatility Relationship。  new window
13.Edwards, S. and I. I. Magendzo(2006)。Strict Dollarization and Economic Performance: An Empirical Investigation。  new window
14.Glick, R. and M. Hutchison(2005)。Capital Control and Exchange Rate Instability in Developing Economies。  new window
15.Gyimah-Brempong, K., O. Paddison and W. Mitiku(2006)。Higher Education and Economic Growth in Africa。  new window
16.Hayakawa, K.(2007)。Small Sample Bias Properties of the System GMM Estimator in Dynamic Panel Data Models。  new window
17.Hermes, N. and R. Lensink(2003)。Foreign Direct Investment, Financial Development and Economic Growth。  new window
18.Hsu, H. T.(2005)。Capital Control and Domestic Interest Rates: A Generalized Model。  new window
19.Kenen, P. B.(2007)。The Benefits and Risks of Financial Globalization。  new window
20.Kose, M. A., E. S. Prasad and M. E. Terrones(2003)。Financial Integration and Macroeconomic Volatility。  new window
21.Kraay, A.(1998)。In Search of the Macroeconomic Benefits of Capital Account Liberalization。  new window
22.Mallick, H. and S. Agarwal(2007)。Impact of Real Interest Rates on Real Output Growth in India: A Long-Run Analysis in a Liberalized Financial Regime。  new window
23.Miniane, J.(2004)。A New Set of Measures on Capital Account Restrictions。  new window
24.Mody, A. and A. P. Murshid(2005)。Growing Up with Capital Flows。  new window
25.Quinn, D.(1997)。The Correlates of Change in International Financial Regulation。  new window
26.Roodman, D.(2006)。How to Do xtabond2: An Introduction to Difference and System GMM in Stata。  new window
27.Schnabl, G.(2007)。Exchange Rate Volatility and Growth in Emerging Europe and East Asia。  new window
28.Stiglitz, J. E.(2000)。What I Learned at the World Economic Crisis. The Insider。  new window
29.Tamirisa, N. T.(2006)。Do the Macroeconomic Effects of Capital Controls Vary by Type? Evidence from Malaysia。  new window
30.Tamirisa, N. T.(1999)。Exchange and capital Controls as Barriers to Trade。  new window
31.Taylor, M. P.(1999)。Real Interest Rates and Macroeconomic Activity。  new window
 
 
 
 
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