Application of financial management in regional economic development based on VAR modeling

被引:0
|
作者
Li X. [1 ]
机构
[1] Guangdong University of Petrochemical Technology the School of Economics and Management, Guangdong, Maoming
关键词
Causality test; Financial management; Impulse response; Regional economy; VAR model;
D O I
10.2478/amns.2023.2.01594
中图分类号
学科分类号
摘要
This paper constructs a vector autoregressive (VAR) model between the level of financial management and regional GDP. Through the Granger causality test, the panel data at the financial management level and regional economic phenomena are studied, and the empirical distributions in the stationary situation are given by combining the stochastic simulation method. The auxiliary regression equations are established separately for constrained and unconstrained conditions, and the test statistic is constructed to determine whether there is Granger causality between the variables. Finally, from the actual data, a one standard deviation shock is applied to LATS and LGDP, and a response model with a lag of 100 periods is chosen to obtain the impulse response of the level of financial management and regional economic growth. The results show that the impact of the regional economy on the level of financial management is zero in the first period and then increases continuously, reaching a maximum response of 0.0233 in the 49th period, which indicates that there is a bidirectional promotional effect between the level of financial management and the regional economy and that the effect is not very strong but lasts for a long time. © 2023 Xiaoyun Li, published by Sciendo.
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