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Malaysia Economic Monitor, December 2014 : Towards a Middle-Class Society

2014

World Bank Group


Información bibliográfica
Editorial
Washington, DC
Otras materias
Home ownership; Deficits; Asset price; Financial assets; Financial volatility; Income shocks; Securities market; Disbursements; Social safety net; Government bond; Capital outflows; Local businesses; Global portfolios; Capital securities; Economic developments; Blue chips; Trade balance; Economic cooperation; Commodity; Middle-income country; Futures; Gdp; Banking system; Oil prices; Issuances; Economic research; Foreign currency; Short-term external debt; Labor market; Holding; Interest rates on mortgage; Large-scale investment; Income groups; Dividend payments; Total factor productivity; Exporters; Expenditures; Gross fixed capital formation; Government bond yields; Skills shortages; Credibility; Consumer price inflation; Equities; Gini coefficient; Banking sector; Issuance; Finances; Mortgage debt; Economics research; Portfolio; Excess liquidity; Treasuries; Infrastructure projects; Debt securities market; Tax system; Foreign equity; Inflation rate; Inflationary pressures; Portfolio investment; Credit growth; Interest rate; Central bank; International reserves; Econometric analysis; Emerging market; Equity financing; Depositor; Foreign direct investments; Dividends; Return; Commodity export; Tax collections; Capital flows; International settlements; World development indicators; Tax rate; Trading; Deposits; Economic performance; Mortgage; Equity flows; Government debt; Global investors; Provident fund; Portfolio flows; Income taxes; Export growth; Real gdp; Household wealth; Quality of assets; Housing loan; Personal income; Financial risks; Unemployment rate; International finance; Debt levels; Fiscal consolidation; Foreign holdings; Emerging market economies; Basis points; Foreign exchange; Home country; Foreign exchange reserve; Share of investment; Stock market capitalization; Output; Income inequality; Entry point; Investment projects; Income measures; Real interest; Output gap; Income growth; Monetary policy; Current account balance; Foreign portfolio; Power parity; Forecasts; Deposit; Global trade; Wage growth; Fiscal policy; Commodity exports; Fund information; Institutional investors; Incomes; Inflationary pressure; Domestic currency; Purchasing power; Advanced economies; Current account surplus; Stock prices; Investment income; Inequality measures; Middle-income countries; Equity investments; Agricultural commodity; Debt securities; Direct investment; Capital ratio; Risk aversion; Foreign currencies; Interest income; Commodity prices; Dollar value; World trade; Dividend; Dividend policy; Tax policy; Government debt securities; Non-performing loans; Credit cards; Fixed investment; Labor markets; Net capital; Growth rates; Reserve; Mortgage loans; Government securities; Monetary fund; Islamic instruments; Systemic risk; Public sector deficit; Productive investments; Global portfolio; Asset classes; Tax; Capital flow; Swaps; Global economic prospects; Real interest rates; Global risk; Capital inflows; Domestic economy; Stock price; Capital markets; Asset quality
Idioma
Inglés

2016-03-15
AGRIS AP
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