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Evaluating the Correlation between the Financial Sector Development and the Exports of Middle Eastern Countries

机译:评估金融部门发展与中东国家出口之间的相关性

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With the aim to evaluate the correlation between the exports of Middle Eastern countries and financial sector development, this study explains the relationship between the Institutional environment, Business environment, Financial stability, Financial Banking Services, Financial Non-banking Services, Financial markets and Financial access with the exports of Middle Eastern countries in 6 selected countries during the years 2008 to 2011. This research is applied based on the objective, has the library type based on the data collection and is among the correlative studies based on the method; it seeks to explain the relationship and calculate the amount of correlation and coefficients of each of the independent variables with the energy consumption by using the econometric models. Data and information needed for the research are collected based on the method of document library studies and the information related to the research variables are extracted by referring to the websites of International Association of Economics and UNCTAD Organization. First, the reliability or stability of variables used in various forms was determined by using the reliability determining tests such as the Dickey-Fuller unit root test. The accuracy test of classical assumptions was done for estimated functions and assurance of desired estimations accuracy and assurance of estimated relationship and long-term and balance coefficients of independent variables. Evaluation of stability (Durability or reliability) of variables was done by EViews software and the statistics R2, F and Durbin-Watson were used in the analysis as the outputs of software. As the main result, it should be mentioned that the financial sector development has a significant and positive correlation with the exports of Middle Eastern countries.
机译:为了评估中东国家出口与金融部门发展之间的相关性,本研究解释了制度环境,商业环境,金融稳定性,金融银行服务,金融非银行服务,金融市场和金融准入之间的关系。该研究是基于目标进行的,基于数据收集的图书馆类型,并且是根据该方法进行的相关研究之一;其研究对象是2008年至2011年期间,中东国家在6个所选国家中的出口。它试图利用计量经济学模型解释这种关系,并计算每个自变量与能源消耗的相关性和系数。根据文献库研究方法,收集研究所需的数据和信息,并通过参考国际经济学会和贸发会议组织的网站提取与研究变量有关的信息。首先,通过使用可靠性确定测试(例如Dickey-Fuller单位根测试)来确定各种形式使用的变量的可靠性或稳定性。经典假设的准确性测试是针对估计函数和期望估计的准确性以及对估计关系的保证以及独立变量的长期和平衡系数进行的。变量的稳定性(耐用性或可靠性)的评估是通过EViews软件完成的,统计结果R2,F和Durbin-Watson被用作分析的输出。作为主要结果,应该提到的是,金融部门的发展与中东国家的出口有着显着的正相关关系。

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