Inflation and Financial Sector Correlation: The Case of Bangladesh

Volume: 1 Number: 4 December 1, 2011
  • Abu N.m. Wahid
  • Muhammad Shahbaz
  • Pervaz Azim
EN

Inflation and Financial Sector Correlation: The Case of Bangladesh

Abstract

This paper examines the impact of inflation on financial development in case of Bangladesh for the period of 1985-2005. In doing so, ARDL bounds testing approach and Error Correction Method (ECM) have been employed. Empirical findings reveal that high trends of inflation impede the performance of financial markets. GDP per capita promotes development of financial sector through its causal channels.

Keywords

Details

Primary Language

English

Subjects

-

Journal Section

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Authors

Abu N.m. Wahid This is me

Muhammad Shahbaz This is me

Pervaz Azim This is me

Publication Date

December 1, 2011

Submission Date

December 1, 2011

Acceptance Date

-

Published in Issue

Year 2011 Volume: 1 Number: 4

APA
Wahid, A. N., Shahbaz, M., & Azim, P. (2011). Inflation and Financial Sector Correlation: The Case of Bangladesh. International Journal of Economics and Financial Issues, 1(4), 145-152. https://izlik.org/JA96AT69FK
AMA
1.Wahid AN, Shahbaz M, Azim P. Inflation and Financial Sector Correlation: The Case of Bangladesh. IJEFI. 2011;1(4):145-152. https://izlik.org/JA96AT69FK
Chicago
Wahid, Abu N.m., Muhammad Shahbaz, and Pervaz Azim. 2011. “Inflation and Financial Sector Correlation: The Case of Bangladesh”. International Journal of Economics and Financial Issues 1 (4): 145-52. https://izlik.org/JA96AT69FK.
EndNote
Wahid AN, Shahbaz M, Azim P (December 1, 2011) Inflation and Financial Sector Correlation: The Case of Bangladesh. International Journal of Economics and Financial Issues 1 4 145–152.
IEEE
[1]A. N. Wahid, M. Shahbaz, and P. Azim, “Inflation and Financial Sector Correlation: The Case of Bangladesh”, IJEFI, vol. 1, no. 4, pp. 145–152, Dec. 2011, [Online]. Available: https://izlik.org/JA96AT69FK
ISNAD
Wahid, Abu N.m. - Shahbaz, Muhammad - Azim, Pervaz. “Inflation and Financial Sector Correlation: The Case of Bangladesh”. International Journal of Economics and Financial Issues 1/4 (December 1, 2011): 145-152. https://izlik.org/JA96AT69FK.
JAMA
1.Wahid AN, Shahbaz M, Azim P. Inflation and Financial Sector Correlation: The Case of Bangladesh. IJEFI. 2011;1:145–152.
MLA
Wahid, Abu N.m., et al. “Inflation and Financial Sector Correlation: The Case of Bangladesh”. International Journal of Economics and Financial Issues, vol. 1, no. 4, Dec. 2011, pp. 145-52, https://izlik.org/JA96AT69FK.
Vancouver
1.Abu N.m. Wahid, Muhammad Shahbaz, Pervaz Azim. Inflation and Financial Sector Correlation: The Case of Bangladesh. IJEFI [Internet]. 2011 Dec. 1;1(4):145-52. Available from: https://izlik.org/JA96AT69FK