ACKNOWLEDGEMENT | 第4-5页 |
摘要 | 第5-8页 |
ABSTRACT | 第8-11页 |
ABBREVIATIONS | 第12-18页 |
CHAPTER 1 INTRODUCTION | 第18-36页 |
1.1 BACKGROUND TO THE STUDY | 第18-23页 |
1.2 STATEMENT OF THE PROBLEM | 第23-25页 |
1.3 OBJECTIVES OF THE STUDY | 第25-26页 |
1.4 RESEARCH QUESTIONS AND HYPOTHESES | 第26-27页 |
1.5 SIGNIFICANCE OF THE STUDY | 第27-30页 |
1.6 SCOPE AND LIMITATION OF THE STUDY | 第30-31页 |
1.7 RESEARCH CONTENT AND STRUCTURE ARRANGEMENTS/ ORGANIZATION OF THE STUDY | 第31-33页 |
1.8 MAIN INNOVATIONS/ CONTRIBUTIONS: | 第33-36页 |
CHAPTER 2 LITERATURE REVIEW | 第36-62页 |
2.1 BACKGROUND | 第36-40页 |
2.2 THEORETICAL LITERATURE | 第40-49页 |
2.2.1 Interest Rates and Economic Growth | 第41-43页 |
2.2.2 Financial Liberalization and Economic Growth | 第43-45页 |
2.2.3 Financial Intermediation and Economic Growth | 第45-46页 |
2.2.4 Financial Development and Economic Growth | 第46-48页 |
2.2.5 Financial Development, Human Capital and Economic Growth | 第48-49页 |
2.2.6 Financial Reform, Corruption and Economic Growth | 第49页 |
2.3 EMPIRICAL LITERATURE | 第49-58页 |
2.3.1 Interest Rates and Economic Development | 第50-52页 |
2.3.2 Financial Liberalization and Economic Growth | 第52-53页 |
2.3.3 Financial Intermediation and Economic Growth | 第53页 |
2.3.4 Financial Development and Economic Growth | 第53-56页 |
2.3.5 Financial Development, Human Capital and Economic Growth | 第56-57页 |
2.3.6 Financial Reform, Corruption and Economic Growth | 第57-58页 |
2.4 RESEARCH GAP AND CONTRIBUTIONS | 第58-62页 |
CHAPTER 3 THEORETICAL FRAMEWORK ANDMETHODOLOGY | 第62-78页 |
3.1 BACKGROUND | 第62-64页 |
3.2 GROWTH ACCOUNTING MODELS | 第64-67页 |
3.3 ROMER AND PAGANO MODELS OF FINANCE AND GROWTH | 第67-70页 |
3.4 ESTIMATION TECHNIQUES | 第70-77页 |
3.5 DATA SOURCES | 第77-78页 |
CHAPTER 4 FINANCIAL DEVELOPMENT, HUMAN CAPITALAND ECONOMIC GROWTH | 第78-114页 |
4.1 OVERVIEW | 第78-81页 |
4.2 MODEL SPECIFICATION AND DATA DESCRIPTION | 第81-86页 |
4.3 ECONOMETRIC RESULT | 第86-114页 |
4.3.1 Presentation of Summary Statistics | 第86-90页 |
4.3.2 Result of the Unit Root Test of Stationary | 第90-91页 |
4.3.3 Presentation of Johansen Co-integration | 第91-93页 |
4.3.4 Robustness Checks for Panel Regression Estimates | 第93页 |
4.3.5 Presentation and Interpretation of Results from Causality Tests | 第93-95页 |
4.3.6 Presentation of Panel Regression Results | 第95-114页 |
CHAPTER 5 FINANCIAL REFORM, CORRUPTION ENVIRONMENT AND ECONOMIC GROWTH IN SUBSAHARAN AFRICA | 第114-145页 |
5.1 BACKGROUND | 第114-115页 |
5.2 THE FUNCTIONS OF THE FINANCIAL SYSTEMS | 第115-118页 |
5.2.1 Mobilization of savings | 第116页 |
5.2.2 Efficient Allocation of Capital | 第116-117页 |
5.2.3 Risk Management | 第117-118页 |
5.3 FINANCIAL REFORM PROCESS IN SUB-SAHARAN AFRICAN (SSA) .. 1015.3.1 Country Specific Reform Profile in Sub Saharan Africa | 第118-131页 |
5.4 FINANCIAL REFORM, CORRUPTION ENVIRONMENT, AND ECONOMICGROWTH IN SUB SAHARAN AFRICA (SSA) | 第131-133页 |
5.5 MODEL SPECIFICATION AND DATA DESCRIPTION | 第133-142页 |
5.5.1 Model Specification | 第137页 |
5.5.2 Econometric Results | 第137-142页 |
5.6 ROBUSTNESS CHECKS | 第142-145页 |
CHAPTER 6 CONCLUSION AND POLICY IMPLICATION | 第145-150页 |
6.1 OVERVIEW AND FINDINGS FROM THE STUDY | 第145-146页 |
6.2 POLICY RECOMMENDATIONS | 第146-148页 |
6.3 LIMITATIONS TO THE STUDY AND SUGGESTIONS FOR FUTURERESEARCH | 第148-150页 |
REFERENCE | 第150-168页 |
APPENDIX | 第168-206页 |
PUBLISHED ACADEMIC PAPERS DURING PHD PERIOD | 第206页 |