The Convergence of Financial Sector in Asia

Maria Pinita Angelia, - and Rudi Purwono, Dr (2021) The Convergence of Financial Sector in Asia. Internasional Journal of Research in Business and Social Science, 10 (6). pp. 166-173. ISSN 2147-4478

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Abstract

This study aims to identify the convergence of financial sector development and the effect of macroeconomic variables on each financial sector development indicator in Asia. The sample used consists of 24 countries in Asia during the period 2010-2018. Identification of convergence using ?-convergence absolute and conditional. Indicators are used to represent the development of the financial sector namely private credit, liquid liabilities, stock market capitalization, and stock market turnover. Empirical evidence was based on the Generalized Method of Moment (GMM) estimation technique. The results showed that there was convergence in Asia and that macroeconomic variables had a significant effect on the development of the financial sector.

Item Type: Article
Uncontrolled Keywords: Convergence, Financial Sector Development, stock market, generalized method of moment
Subjects: H Social Sciences
H Social Sciences > HG Finance
Divisions: 04. Fakultas Ekonomi dan Bisnis > Ekonomi Pembangunan
Creators:
CreatorsNIM
Maria Pinita Angelia, -UNSPECIFIED
Rudi Purwono, DrUNSPECIFIED
Depositing User: Tn Sugeng Riyanto
Date Deposited: 04 Mar 2022 02:20
Last Modified: 04 Mar 2022 02:20
URI: http://repository.unair.ac.id/id/eprint/113934
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