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2.3. Interpretive Structural Modeling (ISM)2.4. MICMA Analysis; 3. Research Methodology; 3.1. Prioritization and Modeling of the CSFs Using ISM; 3.2. MIMAC Analysis of Each CSF; 4. Analysis and Discussion; 5. Managerial Implications of Research; 6. Conclusion; References; Chapter 6 Strategic Risk...
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This paper uses the Growth-at-Risk (GaR) methodology to examine how macrofinancial conditions affect the growth outlook and its probability distribution. Using this approach, we evaluate risks to GDP growth in the Dominican Republic using quarterly data for 1996-2018. We group macrofinancial...
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We study the growth determinants in the Eastern Caribbean Currency Union (ECCU), using the Growth at Risk (GaR) framework with a focus on financial variables. We find that excessive bank credit growth is associated with lower future real GDP growth in the medium term especially on the low...
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This volume of The International Symposia in Economic Theory and Econometricsexplores and investigates contemporary challenges and issues facing the Asia-Pacific economies. For researchers and students of economics and finance, this volume is a fascinating exploration of emerging topics in one...
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