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Follow the Money: Does the Financial Sector Intermediate Natural Resource Windfalls?. (2017). Poelhekke, Steven ; Beck, Thorsten.
In: CESifo Working Paper Series.
RePEc:ces:ceswps:_6374.

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  2. The dynamic nexus of oil price fluctuations and banking sector in China: A continuous wavelet analysis. (2024). Bilgili, Faik ; Kukaya, Sevda ; Kassouri, Yacouba ; Majok, Aweng Peter.
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  3. Investigating the impact of financial development on the resource curse form its dual effect. (2023). Dai, Luote ; Bi, Qiuxiang ; Huang, Anzhong ; Ma, Yinghui.
    In: Resources Policy.
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  4. What drives sustainable development? Evaluating the role of oil and coal resources for selected resource rich economies. (2023). Wang, YE.
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  5. Natural resources and financial development: Role of business regulations in testing the resource-curse hypothesis in ASEAN countries. (2022). Dagar, Vishal ; Razzaq, Asif ; Irfan, Muhammad ; Tang, Chang.
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  7. A Multivariate VAR Model for Evaluating Sustainable Finance and Natural Resource Curse in West Africa: Evidence from Nigeria and Ghana. (2021). Shobande, Olatunji ; Enemona, Joseph Onuche.
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  9. Natural catastrophes and financial depth: An empirical analysis. (2021). Horvath, Roman.
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  10. Resource Rents, Human Development and Economic Growth in Sudan. (2020). Mohamed, Elwasila ; Elamin, Elwasila Saeed.
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  11. Natural Catastrophes and Financial Development: An Empirical Analysis. (2020). Horvath, Roman.
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  12. An investigation of the financial resource curse hypothesis in oil-exporting countries: The threshold effect of democratic accountability. (2020). Yacouba, kassouri ; Bilgili, Faik ; Altinta, Halil ; Kassouri, Yacouba.
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  13. Resources or development first: An interesting question for a developing country. (2020). Cai, Xu-Yu ; Sowah, James Karmoh ; Sari, Arif ; Chang, Hsu-Ling ; Wang, LU.
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  14. Is financial development hampering or improving the resource curse? New evidence from China. (2020). Xiaoying, Zhai ; Rongwei, Xie.
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  15. Natural resource abundance, technological innovation, and human capital nexus with financial development: A case study of China. (2020). Shahbaz, Muhammad ; Khan, Zeeshan ; Jiao, Zhilun ; Yang, Siqun ; Hussain, Muzzammil.
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  16. Oil booms, bank productivity and natural resource curse in finance. (2020). Adetutu, Morakinyo O ; Murinde, Victor ; Ebireri, John E ; Odusanya, Kayode A.
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  17. Coping with Falling Oil Prices: The Different Fortunes of African Banks. (2019). Ribeiro, Marcos Poplawski ; Nabar, Malhar S ; Gruss, Bertrand ; Sy, Amadou N ; Mbelu, Asithandile ; Gueye, Cheikh A.
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  18. Oil price volatility, financial institutions and economic growth. (2019). Mohaddes, Kamiar ; Mohtadi, Hamid ; Jarrett, Uchechukwu.
    In: Energy Policy.
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  19. Channeling the Iron Ore Super-Cycle: The role of regional bank branch networks in emerging markets. (2018). , Helge.
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  20. Oil Price Volatility, Financial Institutions and Economic Growth. (2018). Mohaddes, Kamiar ; Mohtadi, Hamid ; Jarrett, Uchechukwu.
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  21. Natural resources, financial development and institutional quality in Africa: Is there a resource curse?. (2018). Dwumfour, Richard Adjei ; Ntow-Gyamfi, Matthew .
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  22. Deposit insurance, bank exit, and spillover effects. (2018). Huang, Yiping ; Bian, Wenlong ; Ji, Yang.
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  23. Oil Price Volatility, Financial Institutions and Economic Growth. (2018). Mohaddes, Kamiar ; Mohtadi, H ; Jarrett, U.
    In: Cambridge Working Papers in Economics.
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  24. THE ROLE OF CAPITAL CONTROLS IN MEDIATING GLOBAL SHOCKS. (2017). Lille, Kerli.
    In: University of Tartu - Faculty of Economics and Business Administration Working Paper Series.
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  25. Quantitative easing and exuberance in government bond markets: Evidence from the ECBs expanded asset purchase program. (2017). Dröes, Martijn ; Mattheussens, Simona ; van Lamoen, Ryan ; Droes, Martijn.
    In: DNB Working Papers.
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  40. Banking deregulation around the world, 1970s to 2000s: The impact on unemployment. (2012). Feldmann, Horst.
    In: International Review of Economics & Finance.
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  41. Does Inflation Targeting Matter for Attracting Foreign Direct Investment into Developing Countries?. (2012). Tapsoba, René.
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  42. The European Union, the Euro, and Equity Market Integration. (2011). Siegel, Stephan ; Lundblad, Christian ; Harvey, Campbell ; Bekaert, Geert.
    In: 2011 Meeting Papers.
    RePEc:red:sed011:468.

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  43. International Capital Flows and Development; Financial Openness Matters. (2010). , Dennis ; Ennis, D ; Dennis, ; Tressel, Thierry ; Ricci, Luca A.
    In: IMF Working Papers.
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  44. FDI Flows to Low-Income Countries; Global Drivers and Growth Implications. (2010). International Monetary Fund, .
    In: IMF Working Papers.
    RePEc:imf:imfwpa:2010/132.

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  45. Central Banking in the Twentieth Century. (2010). Singleton, John.
    In: Cambridge Books.
    RePEc:cup:cbooks:9780521899093.

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  46. An Anatomy Of Credit Booms: Evidence From Macro Aggregates And Micro Data. (2008). Terrones, Marco ; Mendoza, Enrique.
    In: NBER Working Papers.
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  47. Challenges to Monetary Policy from Financial Globalization; The Case of India. (2008). Ward, Helene Poirson ; Kramer, Charles Frederick ; Prasad, Ananthakrishnan.
    In: IMF Working Papers.
    RePEc:imf:imfwpa:2008/131.

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  48. Budget Deficits and Interest Rates; A Fresh Perspective. (2008). Hauner, David ; Aisen, Ari.
    In: IMF Working Papers.
    RePEc:imf:imfwpa:2008/042.

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  49. Financial Reforms, Financial Openness, and Corporate Borrowing; International Evidence. (2007). Detragiache, Enrica ; Agca, Senay ; de Nicolo, Gianni.
    In: IMF Working Papers.
    RePEc:imf:imfwpa:2007/186.

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  50. The Shifting Composition of External Liabilities. (2007). Milesi-Ferretti, Gian Maria ; Mauro, Paolo ; Lane, Philip ; Faria, Andre.
    In: The Institute for International Integration Studies Discussion Paper Series.
    RePEc:iis:dispap:iiisdp190.

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