Title Page
Abstract
Contents
Chapter 1. Introduction 7
1.1. Background of the study 7
1.2. Statement of the problem 12
1.3. Research question 13
1.4. Objectives of the study 13
1.5. Importance of the study 13
Chapter 2. Literature Review 15
2.1. Corruption 15
2.2. Types of corruption 16
2.3. Causes of corruption 17
2.4. Corruption and economic growth 18
2.5. Corruption and human development 20
2.6. Corruption in South Asia 25
2.7. Corruption in Southeast Asia 26
Chapter 3. Methodology 29
3.1. Introduction 29
3.2. Data and empirical model 29
3.2.1. Variable description 29
3.2.2. Conceptual framework 33
3.2.3. Proposed method[내용없음] 5
3.2.4. Empirical model 34
3.2.5. Operationalization 37
Chapter 4. Data Analysis and Interpretation 38
4.1. Descriptive statistics 38
4.2. Correlation matrix 44
4.3. T-tests 47
4.4. Hypothesis and regression analysis 48
4.4.1. Panel data regression for whole 48
4.4.2. Panel data regression regionally 50
Chapter 5. Conclusion 54
5.1. Discussion 54
5.2. Recommendations 58
5.3. Limitations of the study 59
Bibliography 61
Table 1. Statistical values of the sample 43
Table 2. Statistical values regionally 44
Table 3. Correlation matrix 46
Table 4. T-tests by regions 47
Table 5. Panel data regression 48
Table 6. Panel data regression in South Asia 51
Table 7. Panel data regression in Southeast Asia 52
Figure 1. HDI over the years 38
Figure 2. CPI over the years 39
Figure 3. HDI in South Asia 40
Figure 4. CPI in South Asia 41
Figure 5. HDI in Southeast Asia 41
Figure 6. CPI in Southeast Asia 42