[ABDI, H., WILLIAMS, L. J. (2010), Principal component analysis, Wiley Interdisciplinary Reviews: Computational Statistics, 2(4), 433-459. DOI: 10.1002/wics.10110.1002/wics.101]Open DOISearch in Google Scholar
[ABOSEDRA, S., SHAHBAZ, M., NAWAZ, K. (2016). Modeling causality between financial deepening and poverty reduction in Egypt. Social Indicators Research, 126(3), 955-969. DOI: 10.1007/s11205-015-0929-210.1007/s11205-015-0929-2]Open DOISearch in Google Scholar
[AHMAD, N., DU, L., Lu, J., WANG, J., Li, H. Z., HASHMI, M. Z. (2017). Modelling the CO2 emissions and economic growth in Croatia: Is there any environmental Kuznets curve?. Energy, 123, 164-172. DOI: 10.1016/j.energy.2016.12.10610.1016/j.energy.2016.12.106]Open DOISearch in Google Scholar
[AHMED, A. R., MASIH, M. (2017). What is the link between financial development and income inequality? evidence from Malaysia. MPRA Paper No. 79416.]Search in Google Scholar
[AKINBOADE, O. A., INFACK, E. C. (2014). Financial sector development indicators and economic growth in Cameroon and South Africa. Social indicators research, 115(2), 813-836. DOI: 10.1007/s11205-013-0236-810.1007/s11205-013-0236-8]Open DOISearch in Google Scholar
[AL-AZZAM, A., & HAWDON, D. (1999). Estimating the demand for energy in Jordan: a Stock-Watson dynamic OLS (DOLS) approach (No. 97). Surrey Energy Economics Centre (SEEC), School of Economics, University of Surrey.]Search in Google Scholar
[ANG, J. B. (2010). Finance and inequality: the case of India. Southern economic journal, 76(3), 738-761.10.4284/sej.2010.76.3.738]Search in Google Scholar
[AZAM, M., RAZA, S. A. (2018). Financial sector development and income inequality in ASEAN-5 countries: does financial Kuznets curve exists?. Global Business and Economics Review, 20(1), 88-114. DOI: 10.1504/GBER.2018.08848210.1504/GBER.2018.088482]Open DOISearch in Google Scholar
[AYDIN, H. I., YILMAZ, G. (2019). Türk Bankacilik Sektörü için Kredi Açigi Göstergeleri (No. 1902). Research and Monetary Policy Department, Central Bank of the Republic of Turkey.]Search in Google Scholar
[BANERJEE, A. V., NEWMAN, A. F. (1993). Occupational choice and the process of development. Journal of political economy, 101(2), 274-298. DOI: 10.1086/26187610.1086/261876]Open DOISearch in Google Scholar
[BARTLETT, M. S. (1950). Tests of significance in factor analysis. British Journal of Statistical Psychology, 3(2), 77-85. DOI: 10.1111/j.2044-8317.1950.tb00285.x10.1111/j.2044-8317.1950.tb00285.x]Open DOISearch in Google Scholar
[BATUO, M. E., GUIDI, F., MLAMBO, K. (2010). Financial development and income inequality: Evidence from African Countries. MPRA Paper No. 25658.]Search in Google Scholar
[BECK, T., DEMIRGÜÇ-KUNT, A., LEVINE, R. (2000). A New Database on Financial Development and Structure. World Bank Economic Review 14, 597-605. DOI: 10.1093/wber/14.3.59710.1093/wber/14.3.597]Open DOISearch in Google Scholar
[BECK, T., DEMIRGUC-KUNT, A., LEVINE, R. (2004). Finance, inequality, and poverty: Cross-country evidence (No. w10979). National Bureau of Economic Research.10.3386/w10979]Search in Google Scholar
[BECK, T., DEMIRGÜÇ-KUNT, A., & LEVINE, R. (2009). Financial institutions and markets across countries and over time-data and analysis. World Bank Policy Research Working Paper 4943.10.1596/1813-9450-4943]Search in Google Scholar
[BITTENCOURT, M. (2010). Financial development and inequality: Brazil 1985–1994. Economic Change and Restructuring, 43(2), 113-130.10.1007/s10644-009-9080-x]Search in Google Scholar
[BITTENCOURT, M., CHANG, S., GUPTA, R., MILLER, S. M. (2018). Does Financial Development Affect Income Inequality in the US States? A Panel Data Analysis (No. 201803).10.2139/ssrn.3424190]Search in Google Scholar
[Central Bank of the Republic of Turkey (2019). Statistical Database.]Search in Google Scholar
[ČIHÁK, M., DEMIRGÜÇ-KUNT, A., FEYEN, E., LEVINE, R. (2012). Benchmarking financial systems around the world. Policy Research Working Paper 6175.10.1596/1813-9450-6175]Search in Google Scholar
[CLARKE, G. R., XU, L. C., ZOU, H. F. (2006). Finance and income inequality: what do the data tell us?. Southern economic journal, 578-596.10.1002/j.2325-8012.2006.tb00721.x]Search in Google Scholar
[DE HAAN, J., STURM, J. E. (2017). Finance and income inequality: A review and new evidence. European Journal of Political Economy, 50, 171-195. DOI: 10.1016/j.ejpoleco.2017.04.00710.1016/j.ejpoleco.2017.04.007]Open DOISearch in Google Scholar
[DICKEY, D. A., FULLER, W. A. (1981). Likelihood Ratio Statistics for Autoregressive Time Series with A Unit Root. Econometrica: Journal of the Econometric Society, 1057-1072. DOI: 10.2307/191251710.2307/1912517]Open DOISearch in Google Scholar
[ENGLE, R. F., GRANGER, C. W. J. (1987). Co-integration and Error Correction: Representation, Estimation, and Testing. Econometrica: Journal of the Econometric Society, 251-276. DOI: 10.2307/191323610.2307/1913236]Open DOISearch in Google Scholar
[GALOR, O., ZEIRA, J. (1993). Income distribution and macroeconomics. The review of economic studies, 60(1), 35-52.10.2307/2297811]Search in Google Scholar
[GREENWOOD, J., JOVANOVIC, B. (1990). Financial development, growth, and the distribution of income. Journal of political Economy, 98(5, Part 1), 1076-1107. DOI: 10.1086/26172010.1086/261720]Open DOISearch in Google Scholar
[GREGORY, A. W., HANSEN, B. E. (1996). Residual-based Tests for Cointegration in Models with Regime Shifts. Journal of Econometrics, 70(1), 99-126. DOI: 10.1016/0304-4076(69)41685-710.1016/0304-4076(69)41685-7]Open DOISearch in Google Scholar
[HATEMI-J, A. (2008). Tests for Cointegration with Two Unknown Regime Shifts with An Application to Financial Market Integration. Empirical Economics, 35(3), 497-505. DOI: 10.1007/s00181-007-0175-910.1007/s00181-007-0175-9]Open DOISearch in Google Scholar
[FOWOWE, B., ABIDOYE, B. (2013). The effect of financial development on poverty and inequality in African countries. The Manchester School, 81(4), 562-585. DOI: 10.1111/j.1467-9957.2012.02302.x10.1111/j.1467-9957.2012.02302.x]Open DOISearch in Google Scholar
[IRFFI, G., CASTELAR, I., SIQUEIRA, M., LINHARES, F. (2008). Dynamic OLS and regime switching models to forecast the demand for electricity in the northeast of Brazil. Downloaded fromhttp://epge.fgv.br/finrio/myreview/FILES/CR2/p44.pdf. Date of access: February 12, 2018.]Search in Google Scholar
[JALIL, A., & FERIDUN, M. (2011). Long-run relationship between income inequality and financial development in China. Journal of the Asia Pacific Economy, 16(2), 202-214. DOI: 10.1080/13547860.2011.56474510.1080/13547860.2011.564745]Open DOISearch in Google Scholar
[JOHANSEN, S. (1988). Statistical Analysis of Cointegration Vectors. Journal of Economic Dynamics and Control, 12 (2), 231-254. DOI: 10.1016/0165-1889(88)90041-310.1016/0165-1889(88)90041-3]Open DOISearch in Google Scholar
[JOHANSEN, S., JUSELIUS, K. (1990). Maximum Likelihood Estimation and Inference on Cointegration—with Applications to the Demand for Money. Oxford Bulletin of Economics and Statistics, 52 (2), 169-210. DOI: 10.1111/j.1468-0084.1990.mp52002003.x10.1111/j.1468-0084.1990.mp52002003.x]Open DOISearch in Google Scholar
[KAIDI, N., MENSI, S., AMOR, M. B. (2018). Financial Development, Institutional Quality and Poverty Reduction: Worldwide Evidence. Social Indicators Research, 1-26.10.1007/s11205-018-1836-0]Search in Google Scholar
[KAISER, H. F. (1974). An index of factorial simplicity. Psychometrika, 39(1), 31-36. DOI: 10.1007/BF0229157510.1007/BF02291575]Open DOISearch in Google Scholar
[KAPPEL, V. (2010) : The effects of financial development on income inequality and poverty, Proceedings of the German Development Economics Conference, Hannover 2010, No. 2510.2139/ssrn.1585148]Search in Google Scholar
[KIM, D. H., LIN, S. C. (2011). Nonlinearity in the financial development–income inequality nexus. Journal of Comparative Economics, 39(3), 310-325. DOI: 10.1016/j.jce.2011.07.00210.1016/j.jce.2011.07.002]Open DOISearch in Google Scholar
[KOÇAK, E., ŞARKGÜNEŞI, A. (2018). The impact of foreign direct investment on CO2 emissions in Turkey: new evidence from cointegration and bootstrap causality analysis. Environmental Science and Pollution Research, 25(1), 790-804. DOI: 10.1007/s11356-017-0468-210.1007/s11356-017-0468-2]Open DOISearch in Google Scholar
[KUNIEDA, T., OKADA, K., SHIBATA, A. (2014). Finance and inequality: How does Kuznets, S. (1955). Economic growth and income inequality. The American economic review, 45 (1), 1-28.]Search in Google Scholar
[LAW, S. H., TAN, H. B. (2009). The role of financial development on income inequality in Malaysia. Journal of Economic Development, 34(2), 153-168. DOI: 10.35866/caujed.2009.34.2.00810.35866/caujed.2009.34.2.008]Search in Google Scholar
[LAW, S. H., TAN, H. B., Azman-Saini, W. N. W. (2014). Financial development and income inequality at different levels of institutional quality. Emerging Markets Finance and Trade, 50(sup1), 21-33.10.2753/REE1540-496X5001S102]Search in Google Scholar
[LEE, C. C., LEE, C. C. (2018). The Impact of Country Risk on Income Inequality: A Multilevel Analysis. Social Indicators Research, 136(1), 139-162. DOI: 10.1007/s11205-016-1534-810.1007/s11205-016-1534-8]Open DOISearch in Google Scholar
[LEVINE, R. (2005). Finance and growth: theory and evidence. Handbook of economic growth, 1, 865-934. DOI: 10.1016/S1574-0684(05)01012-910.1016/S1574-0684(05)01012-9]Open DOISearch in Google Scholar
[LIANG, Z. (2008). Financial development and income inequality in rural China 1991–2000. In Understanding Inequality and Poverty in China (pp. 72-88). Palgrave Macmillan, London.10.1057/9780230584259_3]Search in Google Scholar
[LING-ZHENG, Y. U., XIA-HAI, W. E. I. (2012). Has financial development worsened income inequality in China? Evidence from threshold regression model. Journal of Finance and Economics, CNKI: SUN:CJYJ.0.2012-03-009.]Search in Google Scholar
[MAKI, D. (2012). Tests for cointegration allowing for an unknown number of breaks. Economic Modelling, 29(5), 2011-2015. DOI: 10.1016/j.econmod.2012.04.02210.1016/j.econmod.2012.04.022]Open DOISearch in Google Scholar
[MASIH, R., & MASIH, A. M. (1996). Stock-Watson dynamic OLS (DOLS) and error-correction modelling approaches to estimating long-and short-run elasticities in a demand function: new evidence and methodological implications from an application to the demand for coal in mainland China. Energy Economics, 18(4), 315-334. DOI: 10.1016/S0140-9883(96)00016-310.1016/S0140-9883(96)00016-3]Open DOISearch in Google Scholar
[MONTALVO, J. G. (1995). Comparing cointegrating regression estimators: Some additional Monte Carlo results. Economics letters, 48(3-4), 229-234.10.1016/0165-1765(94)00632-C]Search in Google Scholar
[MOOKERJEE, R., KALIPIONI, P. (2010). Availability of financial services and income inequality: The evidence from many countries. Emerging Markets Review, 11(4), 404-408. DOI: 10.1016/j.ememar.2010.07.00110.1016/j.ememar.2010.07.001]Open DOISearch in Google Scholar
[PARDO, G. P., SÁNCHEZ SANTOS, J. M. (2014). Household debt and consumption inequality: The Spanish case. Economies, 2(3), 147-170. DOI: 10.3390/economies203014710.3390/2030147]Open DOISearch in Google Scholar
[PESARAN, M. H., SHIN, Y., SMITH, R. J. (2001). Bounds testing approaches to the analysis of level relationships. Journal of applied econometrics, 16(3), 289-326. DOI: 10.1002/jae.61610.1002/jae.616]Open DOISearch in Google Scholar
[PHILLIPS, P. C., HANSEN, B. E. (1990). Statistical Inference in Instrumental Variables Regression with I (1) Processes. The Review of Economic Studies, 57(1), 99-125.10.2307/2297545]Search in Google Scholar
[PHILLIPS, P. C., PERRON, P. (1988). Testing for A Unit Root in Time Series Regression. Biometrika, 75(2), 335-346. DOI: 10.1093/biomet/75.2.33510.1093/biomet/75.2.335]Open DOISearch in Google Scholar
[PRETE, A. L. (2013). Economic literacy, inequality, and financial development. Economics Letters, 118(1), 74-76. DOI: 10.1016/j.econlet.2012.09.02910.1016/j.econlet.2012.09.029]Open DOISearch in Google Scholar
[SATTI, S. L., MAHALIK, M. K., BHATTACHARYA, M., SHAHBAZ, M. (2015). Dynamics of Income Inequality, Finance and Trade in Kazakhstan: Empirical Evidence from a New Transition Economy with Policy Prescriptions. Monash Business School, Department of Economics Discussion Paper, No. 36/15.]Search in Google Scholar
[SEHRAWAT, M., GIRI, A. K. (2016). Financial development, poverty and rural-urban income inequality: evidence from South Asian countries. Quality & Quantity, 50(2), 577-590. DOI: 10.1007/s11135-015-0164-610.1007/s11135-015-0164-6]Open DOISearch in Google Scholar
[SHAHBAZ, M. (2010). Income inequality-economic growth and non-linearity: a case of Pakistan. International Journal of Social Economics, 37(8), 613-636. DOI: 10.1108/0306829101106065210.1108/03068291011060652]Search in Google Scholar
[SHAHBAZ, M., ISLAM, F. (2011). Financial development and income inequality in Pakistan: an application of ARDL approach. Journal of economic development, 36(1), 35-58. DOI: 10.35866/caujed.2011.36.1.00310.35866/caujed.2011.36.1.003]Search in Google Scholar
[SHAHBAZ, M., LOGANATHAN, N., TIWARI, A. K., SHERAFATIAN-JAHROMI, R. (2015). Financial development and income inequality: is there any financial Kuznets curve in Iran?. Social Indicators Research, 124(2), 357-382. DOI: 10.1007/s11205-014-0801-910.1007/s11205-014-0801-9]Open DOISearch in Google Scholar
[SOLT, F. (2009). Standardizing the world income inequality database. Social Science Quarterly, 90(2), 231-242. DOI: 10.1111/j.1540-6237.2009.00614.x10.1111/j.1540-6237.2009.00614.x]Open DOISearch in Google Scholar
[STOCK, J. H., WATSON, M. W. (1993). A Simple Estimator of Cointegrating Vectors in Higher Order Integrated Systems. Econometrica: Journal of the Econometric Society, 61(4), 783-820. DOI: 10.2307/295176310.2307/2951763]Open DOISearch in Google Scholar
[SUTER, C. (2009). Inequality beyond Globalization: Searching for the Missing Pieces of the Puzzle: Introduction to Special Issue. International Journal of Comparative Sociology, 50(5-6), 419-424. DOI: 10.1177/002071520933987410.1177/0020715209339874]Open DOISearch in Google Scholar
[SUTER, C. (2010). Globalization, economic and social transformation, and inequality: Introduction to special issue. International Journal of Comparative Sociology, 51(4), 243-245. DOI: 10.1177/002071521037855010.1177/0020715210378550]Open DOISearch in Google Scholar
[TIWARI, A. K., SHAHBAZ, M., ISLAM, F. (2013). Does financial development increase rural-urban income inequality? Cointegration analysis in the case of Indian economy. International Journal of Social Economics, 40(2), 151-168. DOI: 10.1108/0306829131128361610.1108/03068291311283616]Open DOISearch in Google Scholar
[WALLERSTEIN, I., CHASE-DUNN, C., SUTER, C. (2015). Overcoming global inequalities (Vol. 34). Routledge. DOI: 10.4324/978131563305310.4324/9781315633053]Open DOISearch in Google Scholar
[YOUNSI, M., BECHTINI, M. (2018). Economic Growth, Financial Development and Income Inequality in BRICS Countries: Evidence from Panel Granger Causality Tests. MPRA Paper No. 85182.10.1007/s13132-018-0569-2]Search in Google Scholar