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      • (The) relationship between foreign direct investment and stock market development

        Tumentogtokh, Enkhtugs Graduate School of International Studies, Korea Un 2022 국내석사

        RANK : 247359

        The purpose of this study is to empirically analyze the role of foreign direct investment in developing host country’s stock markets and to examine whether they are related or not. The key interest turns around the admiring role of FDI in Stock market development. Also aims to investigate the effect of foreign direct investment along with GDP, real internal rate, exchange rate, and other variables in stock markets in a rapidly changing political environment. This study appliesthe Ordinary Least Square (OLS) method of regression by using annual time series data for the period 1980-201the 9 in case of the world 179 countries to estimate empirical relationships among variables. The results disclose a positive impact of foreign direct investment along with other explanatory variables in developing Stock markets of countries. The study findings can be used to help governmentpolickerss to encourage FDI and take various steps to provide incentives and save foreign investors' interest in a volatile political environment that prevailing in the country. Previous research has argued that foreign direct investment has different results depending on the infrastructure and level of development of the host country. Also, foreign direct investment research shows that their results are divided into two. On the one hand, analysts believe that investors are more interested in investing in developed countries, while on the other hand, analysts believe that they are more interested in investing in countries with less infrastructure and development. Therefore, this study specifically analyzes data from 10 most developed and developing countries that had the highest economic growth in 2019 /The World Bank/. This study depicts a closer relationship between FDI and Stock Market Development.

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