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Financial sector strategies and financial sector outcomes : do the strategies perform?

Author

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  • Melecky,Martin
  • Podpiera,Anca Maria

Abstract

Financial sector strategies enable financial policy makers and stakeholders to take a holistic view of the financial development needs in their country and formulate balanced financial policies. They help policy makers consider the systemic risk that different development policies involve and choose an informed way forward. This study constructed a new data set of historical financial sector strategies covering 150 countries over 1985-2014. It assesses the strategies using the rating criteria proposed by Maimbo and Melecky (2014). It further investigates how the quality of the strategies can affect financial sector outcomes, such as financial depth, inclusion, efficiency, and stability. The investigation finds that the use of financial sector strategies helped increase financial sector deepening, inclusion, and stability, and this impact could be greater for higher-quality strategies. However, a significant relationship between the use of strategies and the efficiency of banks is not confirmed. One way how financial sector strategies can improve financial sector outcomes is by improving the regulatory framework for finance.

Suggested Citation

  • Melecky,Martin & Podpiera,Anca Maria, 2018. "Financial sector strategies and financial sector outcomes : do the strategies perform?," Policy Research Working Paper Series 8315, The World Bank.
  • Handle: RePEc:wbk:wbrwps:8315
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    Cited by:

    1. is not listed on IDEAS
    2. Sawa Omori, 2024. "Do institutions matter? Political economy of the enhancement of banking supervision," Journal of Banking Regulation, Palgrave Macmillan, vol. 25(1), pages 73-83, March.
    3. Minthiva Pitchaya-Auckarakhun, 2024. "The future of work: financial implications of remote and hybrid work models," Nowoczesne Systemy Zarządzania. Modern Management Systems, Military University of Technology, Faculty of Security, Logistics and Management, Institute of Organization and Management, issue 1, pages 13-38.

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    Keywords

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    JEL classification:

    • G20 - Financial Economics - - Financial Institutions and Services - - - General
    • G28 - Financial Economics - - Financial Institutions and Services - - - Government Policy and Regulation

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