@incollection{, 80DD6DBA9B9256D06BB88FEF0E93106C , author={{}}, journal={{}}, journal={{}}, address={Cambridge, United States}, publisher={Great Britain Journals Press Organisation} } @incollection{b0, , title={{Financial stress and economic dynamics: The case of France}} , author={{ SAboura } and { BVan Roye }} , journal={{International Economics}} 149 , year={2017} } @incollection{b1, , title={{Sustainability of Energy-Induced Growth Nexus in Brazil: Do Carbon Emissions and Urbanization Matter?}} , author={{ TSAdebayo } and { AAAwosusi } and { JAOdugbesan } and { GDAkinsola } and { WKWong } and { HRjoub }} , journal={{London Journal of Research in Management and Business}} 13 8 4371 , year={2021} , note={Sustainability} } @incollection{b2, , title={{Stock market-growth relationship in an emerging economy: empirical finding from ARDL-based bounds and causality approaches}} , author={{ TSAdebayo } and { AAAwosusi } and { FEminer }} , journal={{Journal of Economics and Business}} 3 2 , year={2020} } @book{b3, , title={{African Development Bank (AFDB) 2021. Nigeria Economic Outlook}} , year={29 April, 2021} } @incollection{b4, , title={{Economic uncertainty before and during the COVID-19 pandemic}} , author={{ DAltig } and { SBaker } and { JMBarrero } and { NBloom } and { PBunn } and { SChen } and { ..Thwaites } and { G }} , journal={{Journal of Public Economics}} 191 104274 , year={2020} } @incollection{b5, , title={{The transmission of financial stress from advanced to emerging economies}} , author={{ RBalakrishnan } and { SDanninger } and { SElekdag } and { ITytell }} , journal={{Emerging Markets Finance and Trade}} 47 sup2 , year={2011} } @book{b6, , title={{The Politics of Nigeria's Debt Crisis. Nigerian Alternatives}} , author={{ YBangura }} , year={1987} 100 , address={Zaria} Department of Political Science, ABU } @incollection{b7, , title={{Does Bitcoin hedge global uncertainty? Evidence from wavelet-based quantile-in-quantile regressions}} , author={{ EBouri } and { RGupta } and { AKTiwari } and { DRoubaud }} , journal={{Finance Research Letters}} 23 , year={2017} } @incollection{b8, , title={{Financial stress and economic contractions}} , author={{ RCardarelli } and { SElekdag } and { SLall }} , journal={{Journal of Financial Stability}} 7 2 , year={2011} } @incollection{b9, , title={{Measuring financial stress in Turkey}} , author={{ EICevik } and { SDibooglu } and { TKenc }} , journal={{Journal of Policy Modeling}} 35 2 , year={2013} } @incollection{b10, , title={{Financial stress and economic activity in some emerging Asian economies}} , author={{ EICevik } and { SDibooglu } and { TKenc }} , journal={{Research in International Business and Finance}} 36 , year={2016} } @incollection{b11, , title={{Industry volatility and economic uncertainty due to the COVID-19 pandemic: Evidence from wavelet coherence analysis}} , author={{ SYChoi }} , journal={{Finance research letters}} 37 101783 , year={2020} } @incollection{b12, , title={{Financial markets and economic performances: empirical evidence from five industrialized economies}} , author={{ SRColombage }} , booktitle={{International Business and Finance}} , year={2009} } @book{b13, , author={{ BCournède } and { ODenk }} , title={{Finance and economic growth in OECD and G20countries Available at SSRN}} , year={2015} } @incollection{b14, , title={{Financial stability and economic performance}} , author={{ JCreel } and { PHubert } and { FLabondance }} , journal={{Economic Modelling}} 48 , year={2015} } @incollection{b15, , title={{Finance, institutions and economic development}} , author={{ PDemetriades } and { SHook Law }} , journal={{International Journal of finance & economics}} 3 , year={2006} } @incollection{b16, , title={{Risk Management in the System of Financial Stability of the Service Enterprise}} , author={{ SDrobyazko } and { ABarwinska-Malajowicz } and { BSlusarczyk } and { OChubukova } and { TBielialov }} , journal={{Journal of Risk and Financial Management}} 13 12 300 , year={2020} } @incollection{b17, , title={{Foreign direct investment, financial development and political risks}} , author={{ NDutta } and { SRoy }} , journal={{The Journal of Developing Areas}} , year={2011} } @incollection{b18, , title={{Macroeconomic risks and financial sector stability: the Nigerian case}} , author={{ POEke } and { BUAchugamonu } and { SYunisa } and { GOOsuma }} , journal={{DECISION}} 47 3 , year={2020} } @incollection{b19, , title={{Political risk, economic risk, and financial risk}} , author={{ CBErb } and { CRHarvey } and { TEViskanta }} , journal={{Financial Analysts Journal}} 52 6 , year={1996} } @incollection{b20, , title={{Nigeria: should the government float or devalue the Naira?}} , author={{ PEregha } and { ANdoricimpa } and { SOlakojo } and { MNchake } and { ONyang'oro } and { ETogba }} , journal={{African Development Review}} 28 3 , year={2016} } @incollection{b21, , title={{How is Financial Stability Impacted by Political and Economic Stabilities in Emerging Markets? A Dynamic Panel Analysis}} , author={{ HMErtugrul } and { AOzun } and { DKirikkaleli }} , journal={{Journal for Economic Forecasting}} 4 , year={2019} } @incollection{b22, , title={{Financial Stability Review}} , journal={{ECB}} , year={2020. November 2020} , publisher={European Central Bank} , note={fsr202011~b7be9ae 1f1.en.html} } @incollection{b23, , title={{Economic Recovery and Growth Plan 2017-2020}} , booktitle={{Ministry of Budget and National Planning}} Abuja , publisher={Federal Republic of Nigeria} , year={2017. May 2, 2021} } @incollection{b24, , title={{The effect of financial crises on potentialoutput: New empirical evidence from OECD countries}} , author={{ DFurceri } and { AMourougane }} , journal={{London Journal of Research in Management and Business}} 25 3 , year={2012} , note={Journal of Macroeconomics} } @incollection{b25, , title={{Financial structure and economic development}} , author={{ RWGoldsmith }} , journal={{Economic Journal}} 80 318 , year={1970} } @incollection{b26, , title={{Financial development and economic growth: New evidence from panel data}} , author={{ MKHassan } and { BSanchez } and { JSYu }} , journal={{The Quarterly Review of Economics and Finance}} 51 1 , year={2011} } @incollection{b27, , title={{Finance and growth: Schumpeter might Be right}} , author={{ RGKing } and { RLevine }} , journal={{The Quarterly Journal of Economics}} 108 3 , year={1993} } @incollection{b28, , title={{Does political risk matter for economic and financial risks in Venezuela?}} , author={{ DKirikkaleli }} , journal={{Journal of Economic Structures}} 9 1 3 , year={2020} } @incollection{b29, , title={{Analyses of wavelet coherence: financial risk and economic risk in China}} , author={{ DKirikkaleli }} 10.1108/JFEP-08-2019-0174 , journal={{Journal of Financial Economic Policy}} , year={2021} } @incollection{b30, , title={{The effects of financial and political risks on economic risk in Southern European countries: A dynamic panel analysis}} , author={{ DKirikkaleli } and { KOnyibor }} , journal={{International Journal of Financial Research}} 11 1 , year={2020} } @incollection{b31, , title={{Interlinkage between economic, financial, and political risks in the Balkan countries: evidence from a panel cointegration}} , author={{ DKirikkaleli }} , journal={{Eastern European Economics}} 54 3 , year={2016} } @book{b32, , title={{Routledge international studies in money and banking}} , author={{ TDKnoop }} , year={2013} , publisher={Taylor & Francis Group} , address={London} , note={Global finance in emerging market economies} } @incollection{b33, , title={{Regression quantiles}} , author={{ RKoenker } and { GBassettJr }} , journal={{Econometrica: journal of the Econometric Society}} , year={1978} } @incollection{b34, , title={{Time-frequency dependencies of financial and economic risks in South American countries}} , author={{ MKondoz } and { DKirikkaleli } and { SAAthari }} , journal={{The Quarterly Review of Economics and Finance}} 79 , year={2021} } @incollection{b35, , title={{}} , author={{ RLevine } and { NLoayza } and { TBeck }} , journal={{Financial Intermediation and Growth}} , year={2000} } @incollection{b36, , title={{Investigating the Causal Relationships among Carbon Emissions, Economic Growth, and Life Expectancy in Turkey: Evidence from Time and Frequency Domain Causality Techniques}} , author={{ HRjoub } and { JAOdugbesan } and { TSAdebayo } and { WKWong }} , journal={{Sustainability}} 13 5 2924 , year={2021b} } @incollection{b37, , title={{Inflation thresholds and the finance-growth nexus}} , author={{ PLRousseau } and { PWachtel }} , journal={{Journal of international money and finance}} 21 6 , year={2002} } @book{b38, , author={{ RSari } and { MUzunkaya } and { SHammoudeh }} , title={{The relationship between disaggregated country risk ratings and stock market movements: An ARDL approach. Emerging markets finance and trade}} , year={2013} 49 } @incollection{b39, , title={{The role of tourism, transportation and globalization in testing environmental Kuznets curve in Malaysia: new insights from quantile ARDL approach}} , author={{ ASharif } and { SAfshan } and { SChrea } and { AAmel } and { SA RKhan }} , journal={{Environmental Science and Pollution Research}} 27 20 , year={2020} } @book{b40, , title={{Financial deepening in economic development}} , author={{ ESShaw }} , year={1973} , publisher={Oxford University Press} , address={New York} } @incollection{b41, , title={{Oil prices, US stock return, and the dependence between their quantiles}} , author={{ NSim } and { HZhou }} , journal={{Journal of Banking & Finance}} 55 , year={2015} } @incollection{b42, , title={{Remittances and Disaggregated Country Risk Ratings in Tunisia: An ARDL Approach}} , author={{ DSridi } and { WGhardallou }} , journal={{Economic Research Forum}} ERF , year={2019, July} } @book{b43, , title={{World Development Indicators}} , publisher={World Bank} , year={2021} } @incollection{b44, , title={{Does financial development precede growth? Robinson and Lucas might be right}} , author={{ HZang } and { YCKim }} , journal={{Applied Economics Letters}} 14 1 , year={2007} } @incollection{b45, , title={{}} , journal={{London Journal of Research in Management and Business}} }