ABSTRACT
This collection brings together a collection of theoretical and empirical findings on aspects of financial development and economic growth in developing countries. The book is divided into two parts: the first identifies and analyses the major theoretical issues using examples from developing countries to illustrate how these work in practice; the second part looks at the implications for financial policy in developing countries.
TABLE OF CONTENTS
part I|124 pages
Theoretical and Empirical Issues in Financial Development and Economic Growth
chapter 5|21 pages
Financial Markets and Endogenous Growth
An econometric analysis for Pacific Basin countries
1
part II|193 pages
Issues on Financial Policies in Developing Countries
chapter 12|23 pages
Financial Liberalisation and Financial Fragility
The experiences of Chile and Indonesia compared