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FDI, Stock Market Development and Institutional Quality: An African Perspective

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dc.contributor.author Makoni, Patricia Lindelwa
dc.contributor.author Makoni, Patricia Lindelwa
dc.date.accessioned 2021-11-24T08:10:44Z
dc.date.available 2021-11-24T08:10:44Z
dc.date.issued 2021-09-06
dc.identifier.citation Makoni, P. L. (2021). FDI, stock market development and institutional quality: an African perspective. International Journal of Financial Research, 12 (5), 141-150. https://doi.org/10.5430/ijfr.v12n5p141 en
dc.identifier.issn 1923-4031
dc.identifier.uri https://hdl.handle.net/10500/28303
dc.description.abstract This paper empirically sought to establish the existence of relationships between foreign direct investment, stock market development and institutional quality, respectively. The study adopted a multiple regression analysis, using a panel of nine African countries between 2009 and 2016. Using the random effects model, we find that the relationship between foreign direct investment and stock market development is positive and statistically significant. On the other hand, institutional quality reflected a negative effect on FDI inflows, implying that countries with low quality institutions would struggle to attract inward FDI. The policy implications are that host countries’ policy makers should eliminate or reduce any practices that deter foreign direct investments, such as capital controls and risk of expropriation (institutions), while simultaneously improving the domestic financial infrastructure and related regulations. en
dc.language.iso en en
dc.publisher Sciedu Press en
dc.subject FDI en
dc.subject stock market development en
dc.subject institutional quality en
dc.subject Africa en
dc.subject foreign direct investment en
dc.title FDI, Stock Market Development and Institutional Quality: An African Perspective en
dc.type Article en
dc.description.department Finance, Risk Management and Banking en


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