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  1. Home /
  2. Archives /
  3. Vol. 9 No. 1 (2022)

Vol. 9 No. 1 (2022)

Published: 2022-01-03

Articles

  • The Risk-Taking Behaviour of Tunisian Banks in the Post-Revolution Era: A Panel ARDL-PMG Approach

    Zied SAADAOUI, Salma MOKDADI
    1-12
    • PDF
    • VIDEO
    • HTML
  • Forecasting the Oil Volatility Index Using Factors of Uncertainty

    Panagiotis Delis, Stavros Degiannakis, Konstantinos Giannopoulos
    13-20
    • PDF
    • VIDEO
    • HTML
  • A Simple Macro-Fiscal Model for Policy Analysis: An Application to Cambodia

    Daniel Baksa, Ales Bulir, Dyna Heng
    21-37
    • PDF
    • VIDEO
    • HTML
  • Shocks to Monetary Policy Instruments: Does Credit to the Private Sector Respond in a Similar Manner to Public Sector Credit in Nigeria? A Vector Autoregressive Approach

    Nzeh Innocent Chile, Benedict I Uzoechina, Millicent Adanne Eze, Ozoh Joan Nwamaka, Okoli Uju Victoria
    38-51
    • PDF
    • VIDEO
  • The Potential of Re-exports: A Probability for Fiji’s Trade Growth

    Amit Prakash, Priteshni Chand
    52-58
    • PDF
    • VIDEO
  • The Significance of Foreign Direct Investment Registered Projects and Employment Creation in the Sectors of Ghana’s Economy

    Evans Yeboah, Dacosta Boateng Agyei, Ran Li, Anita Sossoe, Mavis Tetteh, Aisha Amankwa
    59-66
    • PDF

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  • Exploring the impacts of financial development on economic growth through financial openness in three urban agglomeration regions of China
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Asian Journal of Economics and Empirical Research
Online ISSN: 2409-2622 | Print ISSN: 2518-010X
E-mail: info@asianonlinejournals.com