international journal of monetary economics and finance
2020. Not every article in a journal is considered primary research and therefore "citable", this chart shows the ratio of a journal's articles including substantial research (research articles, conference papers and reviews) in three year windows vs. those documents other than research articles, reviews and conference papers. The results of the regression support the role of banking access components in economic growth. International Journal of Monetary Economics and Finance. To resolve collinearity and to have a succinct model the principal component analysis is utilised. The response and impact of monetary and fiscal policy to the pandemic. The main issues addressed include: 1) what factors affect the current account dynamics in response to technology and monetary shocks in a two-country open economy; 2) how should the monetary authority respond to these shocks to maximise the welfare of the household. To do so, this paper constructs two individual data sets: the Asian data set containing US firms with Asian operations for the Asian crisis and the Mexican data set of the firms with Mexican operations for the Mexican crisis. Editors: Urban J. Jermann, Yuriy Gorodnichenko. International Journal of Monetary Economics and Finance. Specifically, the study seeks to analyze the effect of domestic debt (proxy by Federal Government Bonds-FGB) and external debt (proxy by International Monetary Fund Loan-IMFL) on Nigerian’s Gross Domestic Product (GDP). In addition, regarding exchange rate changes type, the exposures of the Asian data set tend to be more significantly estimated with the simple exchange rate changes based on the random-walk assumption whereas the exposures of the Mexican data set tend to be more significantly estimated with the GARCH(1,1)-processed standard deviations of exchange rate. The evolution of the unmanaged to managed short-term interest rate as a monetary policy tool demonstrates a continuing correcting process of a biased sensitivity towards output growth in the gold standard era to a more balanced emphasis on price stability and output growth in the modern-Fed period. Given this, we surmise that investor sentiments and borrowing constraints are the main causes of the asymmetric effects found. The stock prices volatility is partly explained by volatility in exchange rates. Abbreviation: J. Econ. Journal of Monetary Economics, vol. After the introduction of Abenomics, the negative impact of interest rates is larger for the maturity of 10 years. discontinued in Scopus as of 2016. This paper examines the existence of credit channel in five Asian economies namely Malaysia, Indonesia, Thailand, Philippines and Korea. Please note: in line with the aims and objectives of the journal all papers should explicitly take an international … Overview. Hence, employing firm-level data approach may shed further insights on the credit channel transmission mechanism. The set of journals have been ranked according to their SJR and divided into four equal groups, four quartiles. Peer-reviewed refereed journal aiming at engaging academicians as well as practitioners. 119. From the estimated results, I tentatively find they operate in an environment without collusive behaviour. Credit channels. The study results also suggest the presence long memory behaviour and persistent volatility clustering phenomenon amongst exchange rates and stock markets. These results represent the geographical restriction to mutual financial institutions affects to the competitiveness, but the other factors such as good corporate governance relate to the market structure. International Journal of Academic Research in Accounting, Finance and Management Sciences 2(3):132-141. A peer-reviewed, open access journal in islamic monetary policy, islamic economics, islamic finance, financial inclusion & waqf. The samples in this study were drawn from the company's annual reports to the IDX, KLSX and TLSX in 2009. “Access to finance for all” has gained attention in the international development agenda in recent years. The purpose is to have a forum in which general doubts about the processes of publication in the journal, experiences and other issues derived from the publication of papers are resolved. The result shows only unanticipated monetary policy can affect the stock return significantly. International Journal of Monetary Economics and Finance (IJMEF) Inderscience Publishers - linking academia, business and industry through research. SCImago Journal & Country Rank, Scopus Sources. I examine the stability of least-squares learning in a flexible-price endowment economy when there is an anticipated change in the inflation target. Central banking- The chart shows the evolution of the average number of times documents published in a journal in the past two, three and four years have been cited in the current year. This is consistent with the fact that REIT was sometimes actively purchased when the stock market showed weakness after the introduction of Abenomics. International Journal of Economics and Financial Issues. 8, pp. The chart shows the ratio of a journal's documents signed by researchers from more than one country; that is including more than one country address. Emphasis and effectiveness of monetary policy of the Fed: A historical comparative analysis (1871-2013), Emphasis and effectiveness of monetary policy of the Fed: a historical comparative analysis (1871-2013), Financial corporations' performances and corruption indices around Europe 1996-2008, China's reserve requirements and their effects on economic output and assets markets during 2008-2018, The reaction of the Japanese REIT market to stock prices and interest rates: a comparison of the periods before and after Abenomics, Abuses based on the deficit of information in financial markets: the case of presenting the interest rate in basic financial offers, Stock market, economic growth and EU accession: Evidence from three CEECs, Current account dynamics and optimal monetary policy in a two-country economy, Analysis of customer mindset change and accounting practice of garbage bank as medium of edupreneurship, Interpreting survey-based federal funds rate forecasts: how accurate are they in reflecting market expectations, Achieving earnings target through real activities manipulation: lesson from stock exchange of Thailand, Achieving Earning Target through Real Activities Manipulation: Lesson from Stock Exchange of Thailand, Explaining the stock-stock, bond-bond and stock-bond correlation across countries, Static or adaptive the month-of-the-year and intra-month effects in African stock markets, Capital structure active adjustment of Indonesian state-owned enterprises (SOEs), Do credit default swaps affect the time-varying cointegration between PIIGS sovereign interest rates, Do credit default swaps affect the time-varying cointegration between PIIGS's sovereign interest rates, FACTORS AFFECTING INTERNAL AUDIT FUNCTION EFFECTIVITY (INTERNAL AUDITOR COMPETENCE AND OBJECTIVITY, MANAGEMENT SUPPORT, AND ORGANIZATION CULTURE) AT LOCAL GOVERNMENT, Factors affecting internal audit function effectivity (internal auditor competence and objectivity, management support and organisation culture) at local government, Risk governance and bank performance in Sub Saharan Africa: dynamic panel evidence, Risk Governance and Bank Performance in Sub Saharan Africa: Dynamic Panel Evidence, The effect of three types of agency problems on the firm performance: evidence from Indonesia, The Effect of Three Types of Agency Problems on the Firm Performance: Evidence from Indonesia, Asset Allocation Strategy to Create Superior Portfolio from Equity Mutual Funds, Asset allocation strategy to create superior portfolio from equity mutual funds, Analysing the impact of corporate stock buybacks in China and the US equity markets, Analyzing the Impact of Corporate Stock Buybacks in China and the US Equity Markets, An ARDL & Cointegration Approach for Analyzing Determinants of Foreign Portfolio Investors in India, The stability of learning prior to an anticipated change in the target inflation rate, Volatility spillovers between exchange rates and Indian stock markets in the post-recession period: An APARCH approach, Price Efficiency on Islamic Banks vs. Academic field: FINANCE AND ACCOUNTING; MATHEMATICAL AND STATISTICAL METHODS IN ECONOMICS. The International Review of Economics & Finance (IREF) is a scholarly journal devoted to the publication of high quality theoretical and empirical articles in all areas of international economics, macroeconomics and financial economics. The study recommends among others to ensure adequate risk experience members in the risk committee of the banks. This paper identifies the relationship between commercial banking development and economic growth in Eastern Europe. International money, banking and finance have become central to understanding how modern open economies and national economic policies work and interact. Topics covered include: 1909. Credit and financial markets- International banking- This is caused by the differences in Corporate Governance practices in those countries. Review of Economics and Finance 1(2):1-16. Nevertheless, troubled banks must be subsidized if they will voluntarily participate in any recapitalization. Ratio of a journal's items, grouped in three years windows, that have been cited at least once vs. those not cited during the following year. Journal invites Review & Research articles, Case reports and Short Communications. Quarterly Journal of Economics. 4.4 CiteScore. Financial and economic literature has progressively focused its attention on the impact of corruption on the financial performances of listed companies, highlighting the existence of a negative relation between a corruption perception index (CPI) and companies' financial performances. Labour mobility in the world monetary and fiscal policy to the pandemic journal Latest! Rchen1 @ udayton.edu should you wish to run an idea past us may! Asean learn the fact that REIT was sometimes actively purchased when the stock market showed weakness after the introduction Abenomics... As well explores optimal monetary policy when current account dynamics is taken into in. 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