ANALYTICAL STUDY OF FINANCIAL MARKETS INDICATORS AND THEIR ROLE IN GDP: IRAQ FINANCIAL MARKET MODEL

Authors

  • Sawsan Kareem Hodan

Abstract

This research aims to clarify the impact of financial markets on economic development in Iraq by studying the relationship between the indicators of the iraq financial market and economic development index in Iraq GDP for the period 2004-2017, the research contained two aspects, one theoretical: focused on clarifying financial markets In terms of concept and types as well as indicators and focus on the iraq financial market and the other side applied: use quantitative methods to reach the impact of these indicators on economic development in Iraq, including the method of measuring the stability of time series to the research variables, and then measure the relationship between the impact of the research variables by the analysis of the common integration between the variables and test the long-term equilibrium relationship, the research reached a set of conclusions, the most important of which is that the relationship between GDP and the indicators of the - Iraq Financial Market model is a non-complementary relationship in addition to Research recommendations

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Published

2020-08-09

How to Cite

Sawsan Kareem Hodan. (2020). ANALYTICAL STUDY OF FINANCIAL MARKETS INDICATORS AND THEIR ROLE IN GDP: IRAQ FINANCIAL MARKET MODEL. PalArch’s Journal of Archaeology of Egypt / Egyptology, 17(3), 2282-2297. Retrieved from http://mail.palarch.nl/index.php/jae/article/view/2432