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العلاقة بين كل من معدل الانتشار و نسبة السيولة المصرفية و دورهما في تحديد أداء السوق المالية : تجارب دول مختارة للمدة 2000-2019
Other Title(s)
The relationship between the spread rate and the ratio of bank liquidity and their role in determining the performance of the financial market : experiences of selected countries for the period 2000-2019
Author
Source
Issue
Vol. 2020, Issue 124 (30 Jun. 2020), pp.126-146, 21 p.
Publisher
al-Mustansiriyah University College of Management and Economic
Publication Date
2020-06-30
Country of Publication
Iraq
No. of Pages
21
Main Subjects
Business Administration
Economy and Commerce
Topics
- Economic systems
- Economic development
- Research
- Economic structure
- Activities
- Financial markets
- Developing countries
- Developed countries
- Diffusion
- Communication systems
- Bank liquidity
- Analytical approach
Abstract EN
The importance of this research stems from the fact that it tries to investigate the nature of relationship between banking activity and the performance of the financial market, in theory and in practice.
Shortly after exploring the existence of this relationship between the folds of the theory concerned in this regard, the research is actively seeking to clarify the truth on the existence of such a relationship in practice.
The research hypothesis confirms that when the spread rate (expands) decreases and the liquidity ratio decreases (increases) in circulation, the performance of the financial market increases (deteriorates).
The research aims to give a brief theoretical brush on the research variables, which are the spread rate, the ratio of bank liquidity, and the performance of the financial market, and then the research investigates the nature of the relationship between them.
Later, the research is limping on the applied side, as it selects countries, as a sample, from different continents, in order to make a useful comparison between them and produce accurate and fruitful results.
The spatial framework for the research is in the countries of the research sample, namely Australia, Brazil, Japan, and Iraq.
As for the time frame of the research, it includes the period from 2000 to 2019, according to the data available from sober sources.
The research tended to adopt the theoretical and analytical approach to obtaining the research outputs.
The research structure revolves around several aspects, the first of which is a theoretical framework on the concepts of spread and liquidity ratio, and how they are calculated in specialized scientific literature, then the research attempts to access the concept of financial market performance, and the research considers the selection of the general index of the financial market, as an accurate indication of the performance of this market, as is being done in most scientific researches.
The research concluded that the research hypothesis was achieved, to a large extent, in developed countries, that is, Australia and Japan, and it was not achieved, only partially, or it was not achieved at all, in developing countries, that is, Brazil and Iraq, due to the nature of the economic systems of developed countries, which are characterized by transparency and rapid response to economic changes in light of the resulting shocks, the development of information and communication systems, the expansion and development of its financial markets, and other factors
American Psychological Association (APA)
صبحي حسون عباس. 2020. العلاقة بين كل من معدل الانتشار و نسبة السيولة المصرفية و دورهما في تحديد أداء السوق المالية : تجارب دول مختارة للمدة 2000-2019. مجلة الإدارة و الاقتصاد،مج. 2020، ع. 124، ص ص. 126-146.
https://search.emarefa.net/detail/BIM-1090613
Modern Language Association (MLA)
صبحي حسون عباس. العلاقة بين كل من معدل الانتشار و نسبة السيولة المصرفية و دورهما في تحديد أداء السوق المالية : تجارب دول مختارة للمدة 2000-2019. مجلة الإدارة و الاقتصاد ع. 124 (حزيران 2020)، ص ص. 126-146.
https://search.emarefa.net/detail/BIM-1090613
American Medical Association (AMA)
صبحي حسون عباس. العلاقة بين كل من معدل الانتشار و نسبة السيولة المصرفية و دورهما في تحديد أداء السوق المالية : تجارب دول مختارة للمدة 2000-2019. مجلة الإدارة و الاقتصاد. 2020. مج. 2020، ع. 124، ص ص. 126-146.
https://search.emarefa.net/detail/BIM-1090613
Data Type
Journal Articles
Language
Arabic
Notes
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Record ID
BIM-1090613