首页> 外文期刊>Environmental Science and Pollution Research >Financial development, globalization, and CO 2 emission in the presence of EKC: evidence from BRICS countries
【24h】

Financial development, globalization, and CO 2 emission in the presence of EKC: evidence from BRICS countries

机译:金融发展,全球化和CO <下标> 2 发射在EKC的情况下:来自金砖国家的证据

获取原文
获取原文并翻译 | 示例
           

摘要

This study examines the impact of energy consumption, financial development, globalization, economic growth, and urbanization on carbon dioxide emissions in the presence of Environmental Kuznets Curve (EKC) model for BRICS economies, by using a family of econometric techniques robust to heterogeneity and cross-sectional dependence. Results from LM test, CIPS and CADF unit root test, Westerlund Cointegration test, the Dynamic seemingly unrelated regression (DSUR), and Dumitrescu-Hurlin Granger causality test show that (i) the data is cross sectionally dependent and heterogeneous; (ii) carbon dioxide emissions, energy consumption, financial development, globalization, economic growth, square of GDP and urbanization have integration of order one; (iii) the examined variables are co-integrated; (iv) energy consumption and financial development contribute to the carbon dioxide emissions whereas globalization and urbanization have negative but insignificant relationship with carbon dioxide emissions; (v) supports the EKC hypothesis in BRICS economies; (vi) bidirectional causality exists among energy consumption, financial development, economic growth and square of GDP with carbon dioxide emissions whereas globalization and urbanization have unidirectional relationship with carbon dioxide emissions. Since these panel techniques account for heterogeneity and cross-sectional dependence in their estimation procedure, the empirical results are robust and reliable for policy recommendations. Furthermore, this study also uses time series tests (ADF, P-P, and FMOLS) to find the empirical results for each of the country and finds mixed results. Empirical findings directed towards some important policy implications.
机译:本研究探讨了能源消费,金融发展,全球化,经济增长和城市化对金砖石经济体的环境模型的二氧化碳排放的影响,通过使用一个经济学技术对异质性和交叉的家庭 - 依赖。结果来自LM测试,CIP和CADF单位根测试,Westerlund协整测试,动态看似无关的回归(DSUR)和Dumitrescu-Hurlin Granger因果试验结果表明(i)数据是横截面依赖性和异质的; (ii)二氧化碳排放,能源消耗,金融发展,全球化,经济增长,国内生产总值和城市化的广场有一体化的单一; (iii)检查的变量共同集成; (iv)能源消耗和金融发展有助于二氧化碳排放,而全球化和城市化与二氧化碳排放有负面但微不足道的关系; (v)支持国内经济体中的EKC假设; (vi)具有二氧化碳排放的能耗,金融发展,经济增长和GDP的经济增长和广场的双向因果关系,而全球化和城市化与二氧化碳排放有单向关系。由于这些面板技术占其估算程序中的异质性和横截面依赖性,因此对政策建议具有稳健可靠的经验结果。此外,本研究还使用时间序列测试(ADF,P-P和FMOL)来查找每个国家/地区的经验结果,并找到混合结果。实证研究结果针对一些重要的政策影响。

著录项

相似文献

  • 外文文献
  • 中文文献
  • 专利
获取原文

客服邮箱:kefu@zhangqiaokeyan.com

京公网安备:11010802029741号 ICP备案号:京ICP备15016152号-6 六维联合信息科技 (北京) 有限公司©版权所有
  • 客服微信

  • 服务号