ENGLISH

Financial assets, debt and liquidity crises: a Keynesian approach

Book information

Publisher
Cambridge University Press
Year
2015
ISBN
9781107004931, 1107004934, 9781107546660, 1107546664
Language
english
Format
PDF
Filesize
4 MB (4385648 bytes)
Edition
First paperback edition
Pages
XXIV, 432 Seiten : Diagramme\457
Time added
2020-07-26 19:24:52

Description

List of figures List of tables Notation Preface 1. Financial crises and the macroeconomy Part I. The Nonlinear Dynamics of Credit and Debt Default: 2. Currency crises, credit crunches and large output loss 3. Mortgage loans, debt default and the emergence of banking crises 4. Debt deflation and the descent into economic depression Part II. Theoretical Foundations for Structural Macroeconometric Model Building: 5. Keynesian macroeconometric model building: a point of departure 6. Intensive form and steady state calculations 7. Partial feedback structures and stability issues Part III. Debt Crises: Firms, Banks and the Housing Markets: 8. Debt deflation: from low- to high-order macrosystems 9. Debt default, bankruptcy of firms, and banks' performances 10. Japan's institutional configuration and its financial crisis 11. Housing investment cycles, workers' debt and debt default Bibliography.

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