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Applying a panel cointegration analysis to data for 19 OECD countries from 1970 to 1999, the paper provides evidence that financial development is significantly related to investment. Specifically, adding indicators of financial development to a standard investment model (Jorgensen, 1967), we...
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Applying a panel error correction approach to data for 19 OECD countries from 1970 to 1997, the paper provides evidence that financial development is significantly related to investment levels. DiVerent indicators of financial development are used. The results appear to be strongest for stock...
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