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Financial Crisis: Forms- Indicators- Models- and Financial Contagion Theoretical - Analytical Study of Asian Crisis
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اسهم تطور ادوات الاسواق المالية والتغيرات العالمية كالعولمة المالية وتحرير الاسواق المالية العالمية في احداث العديد من الازمات ومنها الازمة المالية الدولية التي تعد من اكثر الظواهر ملازمة للاسواق المالية على الرغم من التطورات التي تشهدها تلك الاسواق نتيجة تطور ادواتها المالية وانفتاحها على بعضها البعض. وتتعرض الاسواق المالية الدولية والناشئة  (Emerging Market) منها بشكل خاص الى العديد من الازمات المالية حيث تعرضت تلك الاسواق خلال القرن الماضي للعديد من الأزمات المالية التي أثر بعضها في مختلف قطاعات الدولة  التي امتد تأثيرها لأسواق مالية عالمية أخرى الامر الذي شكل تحديا للادارة المالية في مواجهة تلك الازمات المالية.

اتجهت أدبيات الفكر المالي إلى التركيز على تحليل الأزمات المالية في ضوء الظواهر الحديثة المرتبطة بها كالعدوى المالية (Financial Contagion)، ودور المؤسسات المالية مثل صندوق النقد الدولي ) IMF، International Monetary Funds) لتلافي المخاطر الكبيرة للازمات المالية من خلال التدخل الايجابي على وفق طبيعة كل أزمة مالية.

من ابرز الأزمات الدولية المعاصرة، أزمة أسواق جنوب شرق أسيا (1997) التي تعرضت لها أسواق مجموعة دول جنوب شرق أسيا، بعد أن اندلعت تلك الأزمة في سوق تايلند المالي لتنتقل بسرعة وبقوة إلى أسواق مالية مجاورة أخرى، والذي ميز تلك الأزمة عن غيرها هو النمو المتميز للأسواق المالية والاقتصادية لتلك الدول قبل حدوث الأزمة، أذ أطلق عليها النمور الأسيوية (Asian Tigers) الأمر الذي جعل إمكانية تعرضها لازمة مالية أمرا بعيد الاحتمال، وعندما ضربت تلك الأزمة أسواق المال في جنوب اسيا، أصبحت مسألة توقع حدوث أزمات مالية مفاجئة امرأ ليس بعيد الاحتمال بالرغم مما تمتلكه الأسواق المالية من مقومات أداء متميز.

تتناول الدراسة الحالية بعض النواحي الأساسية المتعلقة بالأزمات المالية الدولية، مع التركيز على أزمة أسواق جنوب أسيا بشكل خاص. وقد تمثلت مشكلة الدراسة في الجدل المعرفي حول الأطار المفاهيمي للأزمة المالية (Financial Crisis Concept)، والمفاهيم الأخرى ذات العلاقة، فضلا عن إمكانية أستجلاء التحليل لبعض نواحيها في الأسواق المالية لدول جنوب شرق آسيا (اندنوسيا، ماليزيا، الفلبين، تايلند، تايوان، وكوريا الجنوبية)  للفترة  (1998-1997)م.

بدأت الازمة الاسيوية عام 1997، ازمة في سوق العملات، وازمة سيولة مؤقتة، لكنها تحولت فيما بعد ذلك الى ازمة مالية واقتصادية ذات ابعاد سياسية خطيرة- الى حد كبير– بسبب السياسات غير المرنة لاسعار الصرف، وشركات مدينة اكثر من اللازم، وقطاع مصرفي ضعيف، وقروض كبيرة وقصيرة الاجل بالعملات الرئيسة للحكومات، ولوائح مصرفية واشرافية غير كافيتين بصفة عامة وضوابط مصرفية داخلية متراخية، وتقييم غير صارم للمخاطر الائتمانية والسوقية، وكان يعتقد بصفة عامة، ان الحكومات لن تسمح بفشل المصارف، وان الودائع مضمونة تماماً، كما ان قطاع التصدير الذي اعتمدت عليه هذه الدول لتحقيق معدلات عالية لنموها الاقتصادي قد تعرض لهزة كبيرة اضعفت قدرته التنافسية، وذلك عندما قامت الصين عام 1994 بتخفيض سعر صرف عملتها.

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Publication Date
Tue Jun 15 2021
Journal Name
Al-academy
Features of Modernity in the Works of Saleh Al-Jami (An Analytical Study): رؤى قحطان عبد الله
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Since the beginning of the twentieth century, the art of composition has witnessed major transformations that accompanied the transformations that occurred in the cognitive field. The plastic artists rejected the prevailing artistic line, and sought to create a new artistic format that accommodates the new social and cultural problems. So was the announcement of the era of modernity in the late nineteenth century, with the birth of the impressionism movement that gave a place to challenge all that is familiar. . And he drew the attention of the researcher, and for that he chose the research title (Characteristics of Modernity in the Works of Saleh Al-Jumayyi (Analytical Study)) The researcher divided the research as follows:
Methodolo

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Crossref
Publication Date
Fri Sep 30 2022
Journal Name
Journal Of Accounting And Financial Studies ( Jafs )
The economic feasibility of the accident insurance portfolio in the performance of insurance companies : an analytical study
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The research aims to use performance indicators and financial criteria in evaluating the economic feasibility of the company's insurance portfolios. In addition to identifying the strengths and weaknesses in portfolio's performance to enhance the strengths and address the weaknesses. This is consistent with research problem that dealt with the performance indicators, economic feasibility of company's portfolios and contributing to their improvement, reducing the financial and insurance risks associated with company's business. The research’ sample is represented by the Iraqi Insurance Company as it is one of the oldest financial institutions operating in the insurance sector. It has identified (5) insurance portfolios (marine, engineer

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Publication Date
Sat Dec 30 2023
Journal Name
Journal Of Economics And Administrative Sciences
The Role of Digital Economy in Iraqi Economic Growth for The Period of 2010-2022 (Analytical Study)
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The research addresses the role of the digital economy in the growth of the Iraqi economy during the period from 2010 to 2022. The research is based on the hypothesis that the digital economy has become one of the primary growth drivers worldwide and has a close relationship with economic development. Therefore, the digital transformation in Iraq can accelerate bridging developmental gaps with other countries.

It has become evident that the Iraqi economy suffers from structural imbalances for various reasons, hindering economic growth. These reasons include political and economic factors, as well as the absence of a well-thought-out policy to promote the agricultural sector, which is considered one of the fundamental sectors capa

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Crossref
Publication Date
Tue Nov 01 2016
Journal Name
Journal Of Economics And Administrative Sciences
Financial and administrative corruption: concept, causes, types and ways to address them in Iraq
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Abstract:-

The phenomenon of financial and administrative corruption is not the result today, but not tied to time or designated place, he is the scourge is rampant in all countries of the world, without exception, those developed and developing, a phenomenon that crossed national boundaries and become withstand a global character, and corruption is limited to communities of particular economic systems without the other, but suffered Throughout history most societies to varying degrees, Iraq is one of the countries that suffered and continues to suffer from corruption, which has become, B grumble in most of the Iraqi state institutions, especially after the occupation in 2003 as administrative corruption in Iraq arrived i

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Publication Date
Tue Dec 01 2009
Journal Name
Journal Of Economics And Administrative Sciences
Evaluation The Efficiency And Effectiveness of The Iraq stock Exchange -An Empirical Study From July 2004 to March 2008–
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 The aim of this study was to provide an overall assessment to the efficiency of the Iraq stocks exchanges (ISE) through specifying well –known models .First, Fama's efficient market hypothesis as a contrary concept to the random walk hypothesis, was performed and it has been found that ISE follows the random process, so the price of the shares can't be predicated on the basis of past information. Second,we use a multifactor model, which so named multiple regression, to explore the link between ISE  and the main economic indicators. our empirical analysis finds that every weak associations exists between major ISE measures and main economic indicators.

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Publication Date
Wed Jul 01 2020
Journal Name
Journal Of Engineering
Examining sensitivity of financial performance at construction projects prequalification stage
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Construction projects are complicated in nature and require many considerations in contractor selection. One of the complicated interactions is that between performance with the project size, and contractor financial status, and size of projects contracted. At the prequalification stage, the financial ‎requirements restrict the ‎contractors to meet minimum limits in financial criteria such as net worth, working capital and ‎annual turnover, etc. In construction projects, however, there are cases when contractors meet these requirements but show low performance in practice. The model used in the study predicts the performance by training of a neural network. The data used in the study are 72 of the most recent roadw

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Publication Date
Mon Oct 22 2018
Journal Name
Journal Of Economics And Administrative Sciences
Measuring and analyzing the relationship between the fiscal policy indicators and the bank stability index in Iraq for the period 2010-2016 using the ARDL model.
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The importance of this research is to clarify the nature and the relationship between the indicators of financial policy and banking stability in Iraq, as well as to find a composite index reflects the state of banking stability in Iraq in order to provide an appropriate means to help policymakers in making appropriate decisions before the occurrence of financial crises.

     Hence, the problem of research is that the fiscal policy has implications for the macro economy and does not rule out its impact on banking stability. Moreover, the central bank does not possess a single indicator that reflects the stability of the banking system, rather than the scattered indicators that depend o

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Publication Date
Sun Jan 01 2023
Journal Name
International Journal Of Economics And Finance Studies
THE ROLE OF EXTERNAL INDEBTEDNESS OF THE ECONOMIC AND FINANCIAL DEVELOPMENT IN IRAQ
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The imperative of achieving financial stability has transcended national boundaries, necessitating heightened attention from both researchers and policymakers. Consequently, this article delves into an examination of the impact of government debt and public debt on financial development within the context of Iraq. The study employs monetary policy, interest rate, inflation, and population growth as control variables to prognosticate financial development. Utilizing data extracted from the World Development Indicators (WDI) spanning the period from 1995 to 2022, the study employs the dynamic autoregressive distributed lag (DARDL) approach to scrutinize the associations under investigation. The findings underscore a negative association betwe

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Scopus
Publication Date
Sun Sep 21 2025
Journal Name
Al–bahith Al–a'alami
Challenges Faced by the Media under the Fragile State: Analytical Study of the Iraqi Media Reality
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This study aims at defining the concept of the fragile state, a term that came into existence in 2014, when the states that had internal Problems and external interventions were referred to as the failure states. However, the indicators for their designation and the criteria adopted are 12 indicators that address all aspects of the State’s duties vis-a-vis its citizens. The study examined the reasons that led to the continuation of Iraq within the fragile states, and the selection of the five years within the time limits of the study due to the factors that led to the decline of Iraq and falling back within the most fragile countries. The study dealt with the fragile state challenges to the media reality as a result of the change of it

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Publication Date
Thu Dec 20 2007
Journal Name
Journal Of Planner And Development
To contribute in handling the housing crisis in the city of BaghdadA study for the decision of the Mayoralty of Baghdad to allow adding a third floor for the residential units
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We need to know the basic facts concerning planning top and bottom limits including any critical levels or the threshold over which the cost would be much higher for land development. Therefore this paper concerned with Baghdad Municipality decision No.2/1004 dated 7/12/2004. The reason behind this decision is the hope to face up at least in the severe housing crisis in the city of Baghdad. This paper attempts to know the attitude of the local community in the general through a field study of people living near such dwelling where third floors are added of. This might indicate any positive or negative effects whether on short or long-term including its effect on the theoretical side including the population growth of Baghdad, the

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