Financial vulnerability and income inequality: new evidence from OECD countries
Nicholas Apergis;
(Bank Indonesia Insitute , 2019)
|
ABSTRACT This study explores, for the first time, how financial vulnerability affects income inequality across OECD countries, from 1990 to 2015. The empirics use a new financial vulnerability index constructed by Adrian and Duarte (2016). Through the methodology of their modeling approach, panel GARCH and GMM methods, the findings indicate that financial vulnerability exerts a negative impact on income equality conditions. The results survive certain definitions of income inequality and corruption, while they highlight the importance of financial stability conditions, with potential further repercussions to the real economy. |
No. Panggil : | 332 BEMP 21:3 (2019) |
Entri utama-Nama orang : | |
Penerbitan : | Jakarta: Bank Indonesia Insitute , 2019 |
Sumber Pengatalogan : | LibUI ind rda |
ISSN : | 14108046 |
Majalah/Jurnal : | Bulletin of Monetary Economics and Banking |
Volume : | Vol. 21, No. 3, January 2019: Hal. 395 - 408 |
Tipe Konten : | text |
Tipe Media : | unmediated |
Tipe Carrier : | volume |
Akses Elektronik : | |
Institusi Pemilik : | Universitas Indonesia |
Lokasi : | Perpustakaan UI, Lantai 4, R. Koleksi Jurnal |
No. Panggil | No. Barkod | Ketersediaan |
---|---|---|
332 BEMP 21:3 (2019) | 03-19-214948701 | TERSEDIA |
Ulasan: |
Tidak ada ulasan pada koleksi ini: 20498154 |