Institutions and financial development: Comparative analysis of developed and developing economies

Economia Pub Date : 2024-05-06 DOI:10.1108/econ-11-2023-0201
Fernanda Cigainski Lisbinski, Heloisa Lee Burnquist
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Abstract

PurposeThis article aims to investigate how institutional characteristics affect the level of financial development of economies collectively and compare between developed and undeveloped economies.Design/methodology/approachA dynamic panel with 131 countries, including developed and developing ones, was utilized; the estimators of the generalized method of moments system (GMM system) model were selected because they have econometric characteristics more suitable for analysis, providing superior statistical precision compared to traditional linear estimation methods.FindingsThe results from the full panel suggest that concrete and well-defined institutions are important for financial development, confirming previous research, with a more limited scope than the present work.Research limitations/implicationsLimitations of this research include the availability of data for all countries worldwide, which would make the research broader and more complete.Originality/valueA panel of countries was used, divided into developed and developing countries, to analyze the impact of institutional variables on the financial development of these countries, which is one of the differentiators of this work. Another differentiator of this research is the presentation of estimates in six different configurations, with emphasis on the GMM system model in one and two steps, allowing for comparison between results.
机构与金融发展:发达经济体和发展中经济体的比较分析
本文旨在研究制度特征如何影响经济体整体的金融发展水平,并对发达经济体和不发达经济体进行比较。本文采用了一个包含 131 个国家(包括发达国家和发展中国家)的动态面板;选择了广义矩量系统(GMM 系统)模型的估计器,因为它们具有更适合分析的计量经济学特征,与传统的线性估计方法相比,具有更高的统计精度。研究的局限性/影响本研究的局限性包括是否能获得全球所有国家的数据,这将使研究更加广泛和完整。这项研究的另一个与众不同之处在于采用了六种不同的配置来展示估算结果,重点是单步和两步的 GMM 系统模型,以便对结果进行比较。
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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