haku: @author Aizenman, J. / yhteensä: 19
viite: 6 / 19
Tekijä:Aizenman, J.
Marion, N.
Otsikko:Volatility and investment: interpreting evidence from developing countries
Lehti:Economica
1999 : MAY, VOL. 66:262, p. 157-179
Asiasana:ECONOMICS
VOLATILITY
INVESTMENT
Kieli:eng
Tiivistelmä:The authors uncover a significant negative correlation between various volatility measures and private investment in developing countries, even when adding the standard control variables. No such correlation is uncovered when the investment measure is the sum of private and public investment spending. Indeed, public investment spending is positively correlated with some measures of volatility. These findings suggest that the detrimental impact of volatility on investment may be easier to detect using disaggregated data.
SCIMA tietueen numero: 202089
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