Assessing Global Competitiveness: A Comparative Analysis of Financial Institutions Development through the Global Competitiveness Index

Dóra Sallai
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Abstract

This study aims to investigate the relationship between a country’s financial development and its global competitiveness, specifically focusing on financial institution efficiency. The research utilizes the Global Competitiveness Index (GCI) and the Financial Market Development Index Dataset as primary sources, covering the period from 2007 to 2019. Additionally, the study seeks to analyse and compare the rankings of European Union (EU) member countries and the United Kingdom in terms of the financial markets pillar of the GCI, while also examining the disparities between the “old” GCI and GCI 4.0. This study focuses specifically on the eighth pillar of the GCI, namely “Financial mar­ket development”. It emphasizes the significance of an efficient financial sec­tor in allocating resources, facilitating business investment, and fostering pro­duc­tivity. A sophisticated financial market, encompassing elements such as sound banking, regulated stock exchanges, and venture capital, plays a pivotal role in driving private sector investments. Transparency, credibility, and ade­quate regulation within the banking sector and financial markets are essential for protecting investors and ensuring the overall stability of the economy. By focusing on the financial institutions pillar within the EU and using the Glo­bal Competitiveness Index as a benchmark, this study can contribute valuable in­sights to policymakers and stakeholders, aiding them in making informed decisions to strengthen the EU’s financial sector and overall economic competiti­veness.
评估全球竞争力:通过全球竞争力指数对金融机构发展进行比较分析
本研究旨在探讨一个国家的金融发展与其全球竞争力之间的关系,特别关注金融机构的效率。研究以全球竞争力指数(GCI)和金融市场发展指数数据集为主要资料来源,时间跨度为 2007 年至 2019 年。此外,本研究还试图分析和比较欧盟(EU)成员国和英国在全球竞争力指数金融市场支柱方面的排名,同时研究 "旧版 "全球竞争力指数和全球竞争力指数 4.0 之间的差距。本研究特别关注 GCI 的第八个支柱,即 "金融市场发展"。它强调了高效的金融部门在分配资源、促进商业投资和提高生产力方面的重要性。一个成熟的金融市场,包括健全的银行业、受监管的证券交易所和风险资本等要素,在推动私营部门投资方面发挥着举足轻重的作用。银行业和金融市场的透明度、可信度和充分监管对于保护投资者和确保经济整体稳定至关重要。本研究以欧盟内部的金融机构支柱为重点,以全球竞争力指数为基准,可以为政策制定者和利益相关者提供有价值的见解,帮助他们做出明智的决策,以加强欧盟的金融部门和整体经济竞争力。
本文章由计算机程序翻译,如有差异,请以英文原文为准。
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