Economic and Financial Integration in South Asia

Economic and Financial Integration in South Asia

A Contemporary Perspective

Sehgal, Sanjay; Saini, Sakshi; Ahmad, Wasim; Pandey, Piyush

Taylor & Francis Inc

10/2020

198

Dura

Inglês

9780815380139

15 a 20 dias

430

Descrição não disponível.
List of Figures. List of Tables. Preface. Acknowledgements. List of Abbreviations. Introduction. 1. South Asian Integration: An Overview Sanjay Sehgal, Sakshi Saini and Piyush Pandey 2. Economic and Financial Integration in the South Asian Region: A Survey Sanjay Sehgal, Sakshi Saini and Piyush Pandey 3. On the Determinants of Economic Integration in SAARC Countries: A Macroeconomic Perspective Wasim Ahmad, Sanjay Sehgal and Rishman Jot Kaur Chahal 4. Factors Influencing the SAARC's Bilateral Trade: Evidence from Spatial Econometrics Models Wasim Ahmad, Sanjay Sehgal and Mahendra Kumar Singh 5. Understanding the Business and Financial Cycles Interdependence in SAARC Countries Wasim Ahmad and Sanjay Sehgal 6. Dynamics of Stock Market Integration in the South Asian Region Sanjay Sehgal and Piyush Pandey 7. Interdependencies amongst the Short- and Long-Term Debt Markets of South Asia Sanjay Sehgal, Sakshi Saini and Piyush Pandey 8. Currency Linkages across the South Asian Economies Sanjay Sehgal and Piyush Pandey 9. Banking System Integration in South Asia Piyush Pandey, Sanjay Sehgal and Wasim Ahmad 10. Role of China in South Asian Financial Integration Sanjay Sehgal, Sakshi Saini and Piyush Pandey. References. Appendix. Index.
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SAARC Country;SAARC Region;regional economic ties;South Asian Countries;financial stability;Copula Models;debt markets;SAARC Member;banking system;SAARC Member Country;economic and financial integration;Forecast Error Variance;Time Varying Copula Model;SAARC Nation;Equity Market Integration;Real Credit Growth;Spillover Index;Equity Market Linkages;USD Million;Return Spillovers;South Asian Integration;HDI;Financial Integration;Total Forecast Error Variance;Equity Market;BHU;Long Term Debt Markets;Large ASEAN;Copula GARCH Model;Economic Policy Uncertainties