Dampak Globalisasi Ekonomi Terhadap Stabilitas Lembaga Keuangan Perbankan

Studi Kasus Pada Negara Berkembang

Authors

  • Windi Octaviani Universitas Negeri Medan
  • Theresia Sihombing Universitas Negeri Medan
  • Joan Agus Sirait Universitas Negeri Medan
  • Radja Marihat Batu Bara Universitas Negeri Medan
  • Hasyim Hasyim Universitas Negeri Medan

DOI:

https://doi.org/10.61132/santri.v2i3.584

Keywords:

Economic Globalization, Banking Financial Institutions, Case Studies in Developing Countries

Abstract

Economic globalization has become one of the main distinctive features in the development of the world economy today. This phenomenon has a significant impact on various aspects of economic life, including the stability of banking financial institutions in developing countries. This study aims to investigate the impact of economic globalization on the stability of banking financial institutions using a case study approach in specific developing countries. Through in-depth analysis, this study will examine the factors affecting the stability of banking financial institutions in the face of economic globalization, as well as their implications for economic and financial policies. The results of this study are expected to provide valuable insights into the impact of economic globalization on the stability of banking financial institutions in developing countries. The practical implications of the research findings will be discussed in the context of economic and financial policy, with the aim of strengthening the financial system and increasing resilience to global market fluctuations

Downloads

Download data is not yet available.

References

Barth, J. R., Caprio Jr, G., & Levine, R. (2013). Bank regulation and supervision: What works best? Journal of Financial Intermediation, 22 (4), 529-57.

Beck, T., Demirgüç-Kunt, A., & Levine, R. (2000). A new database on financial development and structure. World Bank Economic Review, 14 (3), 597-605.

Buch, C. M., & Goldberg, L. S. (2015). International banking and liquidity risk transmission: Lessons from across countries. Journal of Money, Credit and Banking, 47 (S1), 159-184.

Calvo, G. A., Leiderman, L., & Reinhart, C. M. (1996). Inflows of capital to developing countries in the 1990s. Journal of Economic Perspectives, 10 (2), 123-139.

Demirgüç-Kunt, A., & Huizinga, H. (2010). Bank activity and funding strategies: The impact on risk and returns. Journal of Financial Economics, 98 (3), 626-650.

Forbes, K. J., & Warnock, F. E. (2012). Capital flow waves: Surges, stops, flight, and retrenchment. Journal of International Economics, 88 (2), 235-251.

International Monetary Fund. (2019). Global Financial Stability Report: Lower for Longer . Washington, DC: International Monetary Fund.

Kaminsky, G. L., & Reinhart, C. M. (1999). The twin crises: The causes of banking and balance-of-payments problems. American Economic Review, 89 (3), 473-500.

Laeven, L., & Valencia, F. (2018). Systemic banking crises revisited. IMF Working Paper, 18/206 . International Monetary Fund.

Lane, P. R., & Milesi-Ferretti, G. M. (2008). The drivers of financial globalization. American Economic Review, 98 (2), 327-332.

Levine, R. (2005). Finance and growth: Theory and evidence. Handbook of Economic Growth, 1 , 865-934.

Merriam, S. B. (2009). Qualitative research: A guide to design and implementation . San Francisco, CA: Jossey-Bass.

Mishkin, F. S. (2009). Globalization and financial development. Journal of Development Economics, 89 (2), 164-169.

Ocampo, J. A., & Stiglitz, J. E. (2008). Capital market liberalization and development . Oxford University Press.

Reinhart, C. M., & Rogoff, K. S. (2009). This time is different: Eight centuries of financial folly . Princeton University Press.

Stiglitz, J. E. (2000). Capital market liberalization, economic growth, and instability. World Development, 28 (6), 1075-1086.

Yin, R. K. (2014). Case study research: Design and methods (5th ed.). Thousand Oaks, CA: Sage Publications.

Downloads

Published

2024-05-24

How to Cite

Windi Octaviani, Theresia Sihombing, Joan Agus Sirait, Radja Marihat Batu Bara, & Hasyim Hasyim. (2024). Dampak Globalisasi Ekonomi Terhadap Stabilitas Lembaga Keuangan Perbankan: Studi Kasus Pada Negara Berkembang. SANTRI : Jurnal Ekonomi Dan Keuangan Islam, 2(3), 97–104. https://doi.org/10.61132/santri.v2i3.584

Similar Articles

<< < 3 4 5 6 7 8 9 10 11 > >> 

You may also start an advanced similarity search for this article.