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生态经济, ISSN 1671-4407, 2016, Volume 32, Issue 12, pp. 58 - 64
Journal Article
Energy Economics, ISSN 0140-9883, 08/2018, Volume 74, pp. 677 - 692
This paper applies panel vector autoregression (PVAR) along with a system-generalized method of moment (System-GMM) to examine the dynamic causal relationship... 
Regions | Energy | System-GMM PVAR | Economic growth | Global | CO2 | FINANCIAL DEVELOPMENT | CARBON-DIOXIDE EMISSIONS | PANEL-DATA ANALYSIS | ENVIRONMENTAL KUZNETS CURVE | TRADE OPENNESS | ASIAN COUNTRIES | FOREIGN DIRECT-INVESTMENT | RENEWABLE ENERGY | ECONOMICS | DYNAMIC CAUSALITY ANALYSIS | DEVELOPING-COUNTRIES
Journal Article
华南师范大学学报:社会科学版, ISSN 1000-5455, 2017, Issue 6, pp. 109 - 115
Journal Article
江南大学学报:人文社会科学版, ISSN 1671-6973, 2017, Volume 16, Issue 2, pp. 111 - 121
基于中国31个省市2006 -2015期间的年度数据,通过建立面板向量自回归( PVAR)模型和运用脉冲响应函数分析腐败机会指数、 GDP以及居民收入之间动态影响的实证结果表明,如果特定地区的经济发展较快,必然 致使腐败发生的概率陡增;居民收入水平的变化同样带来腐败机会指数同向变动,且呈现近似倒U 型,其总体趋... 
PVAR | 腐败机会 | 居民收入 | 经济增长
Journal Article
by 孙正
财经研究, ISSN 1001-9952, 2017, Volume 43, Issue 2, pp. 70 - 83
Journal Article
by 孙正
财经论丛, ISSN 1004-4892, 2017, Issue 7, pp. 39 - 48
Journal Article
宜宾学院学报, ISSN 1671-5365, 2015, Volume 15, Issue 5, pp. 106 - 112
Journal Article
Journal of Banking and Finance, ISSN 0378-4266, 10/2017, Volume 83, pp. 36 - 56
According to the “cost efficiency - liquidity creation” hypothesis (CELCH), introduced in this paper, a rise in a bank’s cost efficiency level increases its... 
PVAR | Efficiency | Bank distress | M&As | Regulation | Liquidity risk | Capital structure | HALF-LIFE | PROFITABILITY | DETERMINANTS | FINANCIAL INSTITUTIONS | RISK | BUSINESS, FINANCE | MODELS | MARKET POWER | DEPOSIT INSURANCE | CONVERGENCE | MERGERS | ECONOMICS
Journal Article
Studies in Computational Intelligence, ISSN 1860-949X, 2018, Volume 753, pp. 502 - 516
Conference Proceeding
Energy Policy, ISSN 0301-4215, 04/2019, Volume 127, pp. 24 - 38
Journal Article
财经科学, ISSN 1000-8306, 2018, Issue 1, pp. 64 - 75
Journal Article
软科学, ISSN 1001-8409, 2018, Volume 32, Issue 1, pp. 16 - 20
Journal Article
by 安蕾
上海金融, ISSN 1006-1428, 2018, Issue 1, pp. 17 - 23
Journal Article
金融监管研究, ISSN 2095-3291, 2018, Issue 1, pp. 68 - 80
本文基于明斯基金融不稳定理论,对企业融资类型和杠杆率变化进行理论分析,并构建金融逆周期调节压力指数,进而利用我国 31... 
金融不稳定假说;融资结构;金融脆弱性;PVAR模型
Journal Article
经济与管理研究, ISSN 1000-7636, 2016, Issue 12, pp. 12 - 20
Journal Article
当代经济管理, ISSN 1673-0461, 2016, Volume 38, Issue 4, pp. 6 - 11
城乡收入差距和诸多宏观经济变量之间存在复杂的互动关联, 所以其和经济波动之间究竟存在怎样的动态关联也就难以直观判断, 亟待相应的实证分析给出答案.文章综合采用能够处理“时间序列变量动态关联非线性特征” 的MSVAR 模型和能够针对面板数据开展向量自回归模型研究的PVAR 模型, 充分利用时间和空间的数据信息,... 
PVAR | 城乡收入差距 | MSVAR | 经济波动
Journal Article
经济与管理研究, ISSN 1000-7636, 2016, Volume 37, Issue 12, pp. 12 - 20
Journal Article
中国人口资源与环境, ISSN 1002-2104, 2017, Volume 27, Issue 7, pp. 35 - 45
Journal Article
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