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Иш: Digital Financial Development, Institutional Efficiency, and Bank Stability in Sub‐Saharan Africa

  1. A simple panel unit root test in the presence of cross‐section dependence

    M. Hashem Pesaran

    Мақола2007141 иқтибос
    ABI
  2. How to do Xtabond2: An Introduction to Difference and System GMM in Stata

    David Roodman

    Мақола200971 иқтибос
    ABI
  3. General Diagnostic Tests for Cross Section Dependence in Panels

    M. Hashem Pesaran

    Мақола200466 иқтибос
    ABI
  4. Consistent Covariance Matrix Estimation with Spatially Dependent Panel Data

    John C. Driscoll, Aart Kraay

    Мақола199854 иқтибос
    ABI
  5. Testing Weak Cross-Sectional Dependence in Large Panels

    M. Hashem Pesaran

    Мақола201447 иқтибос
    ABI
  6. Robust Standard Errors for Panel Regressions with Cross-Sectional Dependence

    Daniel Hoechle

    Мақола200722 иқтибос
    ABI
  7. A finite sample correction for the variance of linear efficient two-step GMM estimators

    Frank Windmeijer

    Мақола200416 иқтибос
    ABI
  8. The long-run poverty and gender impacts of mobile money

    Tavneet Suri, William Jack

    Мақола201610 иқтибос
    ABI
  9. The worldwide governance indicators methodology and analytical issues

    Aart Kraay, Kraay, Aart, Daniel Kaufmann +1

    Китоб20109 иқтибос
    ABI
  10. Impact of digital finance on financial inclusion and stability

    Peterson K Ozili

    Мақола20188 иқтибос
    ABI
  11. The Global Findex Database 2021

    Asli Demirgüç‐Kunt, Leora Klapper, Dorothe Singer +1

    Китоб20228 иқтибос
    ABI
  12. Financial Intermediation and Delegated Monitoring

    Douglas W. Diamond

    Мақола19846 иқтибос
    ABI
  13. Safety First and the Holding of Assets

    A. D. Roy

    Мақола19525 иқтибос
    ABI
  14. Financial development and institutional quality among emerging economies

    Rexford Abaidoo, Elvis Kwame Agyapong

    Мақола20224 иқтибос
    ABI
  15. Financial Contagion

    Franklin Allen, Douglas Gale

    Мақола20004 иқтибос
    ABI
  16. Сарлавҳасиз

    Бошқа3 иқтибос
    ABI
  17. The Theory of Bank Risk Taking and Competition Revisited

    John H. Boyd, Gianni De Nicolò

    Мақола20053 иқтибос
    ABI
  18. Сарлавҳасиз

    Бошқа2 иқтибос
    ABI
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    Бошқа2 иқтибос
    ABI
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    Бошқа2 иқтибос
    ABI
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    Бошқа2 иқтибос
    ABI
  22. Сарлавҳасиз

    Бошқа1 иқтибос
    ABI
  23. Сарлавҳасиз

    Бошқа1 иқтибос
    ABI
  24. Сарлавҳасиз

    Бошқа1 иқтибос
    ABI