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Stock market development and economic growth: the case of the Republic of Serbia

机译:股市发展和经济增长:塞尔维亚共和国的案例

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This paper examines the relationship between stock market development and economic growth in the Republic of Serbia in the period 2002Q1-2018Q4. In order to incorporate the important aspects of stock market development, the market capitalisation ratio is used as the indicator of the size, the total value ratio and the turnover ratio as the liquidity indicators, while the growth rate of the real GDP is used as the indicator of economic growth. The analysis is carried out within the Vector Autoregressive model, using the Toda-Yamamoto-Dolado-Lutkepohl approach to the Granger causality test, the impulse response function, and forecast error variance decomposition. This study reveals the unidirectional Granger causality, running from stock market development to economic growth. The impulse response function shows the positive response of economic growth to an unexpected stock market shock size, while liquidity shocks lead to alternate positive and negative responses to the economic growth rate in the short term. The variance decomposition analysis indicates that fluctuations in the economic growth rate are largely explained by the shocks of the market capitalisation ratio. From the findings, it is concluded that policy-makers should focus on a stock market promotion strategy to enhance economic growth in the Republic of Serbia.
机译:本文在2002Q1-2018Q4期间探讨了塞尔维亚共和国股市发展与经济增长的关系。为了纳入股票市场发展的重要方面,市场资本化比例用作规模的指标,总价值比和流动率作为流动性指标,而实际GDP的增长率用作经济增长指标。分析是在向量自回归模型中进行的,使用Toda-Yamamoto-Dolado-Lutkepohl方法来进行格兰杰因果关系测试,脉冲响应函数和预测误差方差分解。本研究揭示了单向格兰杰因果关系,从股市发展到经济增长。脉冲响应函数表明,经济增长对意外股票市场休克尺寸的积极响应,而流动性震荡导致短期内对经济增长率的替代积极和负面反应。方差分解分析表明,经济增长率的波动在很大程度上解释了市场资本化比率的冲击。从调查结果来看,政策制定者应重点关注股票市场推广战略,以提高塞尔维亚共和国的经济增长。

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