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.

chapter |6 pages

Introduction

chapter 1|28 pages

Models of Financial Development and Growth

A survey of recent literature 1

part I|124 pages

Theoretical and Empirical Issues in Financial Development and Economic Growth

part II|193 pages

Issues on Financial Policies in Developing Countries

chapter 8|31 pages

Financial Sector Policies

Analytical framework and research agenda

chapter 9|27 pages

Interest Rate Deregulation and Investment

A simulation study 1

chapter 11|40 pages

The Financial System and Public Enterprise Reform

Concepts and cases 1

chapter 12|23 pages

Financial Liberalisation and Financial Fragility

The experiences of Chile and Indonesia compared