The tipping point of financial development? – evidence from OECD countries

Author:

Swamy Vighneswara,Dharani M

Publisher

Springer Science and Business Media LLC

Subject

Economics and Econometrics

Reference95 articles.

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3. Aghion P, Howitt P, Mayer-Foulkes D (2005) The effect of financial development on convergence: theory and evidence. Q J Econ 120:173–222

4. Aghion P, Angeletos GM, Banerjee A, Manova K (2010) Volatility and growth: credit constraints and the composition of investment. J Monet Econ 57:246–265

5. Andrews DWK, Ploberger W (1996) Testing for serial correlation against an ARMA(1, 1,) process. J Am Stat Assoc 91:1331–1342

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