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How does financial development alter the impact of uncertainty?

机译:金融发展如何改变不确定性的影响?

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How does the impact of uncertainty on output vary with financial development levels? We investigate this question empirically, using a quarterly panel data set of 50 countries between 1971 and 2009 and an Instrumental Variables model. The results support the conjecture that financial development mitigates the negative impact of uncertainty on output. At the lower end of the distribution of the financial development levels, one standard deviation increase in uncertainty decreases output by more than two standard deviations. At the higher end of financial development, the impact on output is statistically insignificant. These results suggest that strengthening the financial system and increasing liquidity and credit availability improce the robustness of growth performance during periods of uncertainty. (C) 2019 Elsevier B.V. All rights reserved.
机译:不确定性对产出的影响如何因金融发展水平而变化?我们在经验上调查这个问题,使用1971年和2009年之间的50个国家的季度小组数据集和乐器变量模型。结果支持金融发展减轻不确定性对产出的负面影响的猜想。在金融发展水平分布的下端,不确定度的一个标准偏差增加产量超过两个标准偏差。在金融发展的较高端,对产出的影响是统计上微不足道的。这些结果表明,加强金融体系,提高流动资金和信贷可用性,在不确定时期的增长表现的稳健性。 (c)2019 Elsevier B.v.保留所有权利。

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