Başlık:
Financial markets and the macroeconomy : a Keynesian perspective
Yazar:
Chiarella, Carl, editor.
ISBN:
9780415771009
9780203880555
Fiziksel Tanımlama:
xxiii, 488 pages ; 24 cm.
Seri:
Routledge international studies in money and banking
İçerik:
Price dynamics and the macroeconomy -- Stock market and the macroeconomy -- Bond market, term structure, and the macroeconomy -- Financial markets in open economies -- Stock market and exchange rates -- Output and stock market dynamics with state-dependent financial market reactions -- Real-financial market interaction : implications of budget equations and capital accumulation -- A stochastic model of the real financial interaction with boundedly rational heterogeneous agents -- A high-dimensional model of real financial market interaction : the cascade of stable matrices approach -- Stock market, interest rate, and output : a model and estimation for US Time series data -- Capital account and government budget dynamics in perfect open economies -- Twin deficits and inflation in the Mundell-Fleming-Tobin model -- Financial crisis, currency crisis, and large output loss -- Emerging market economies, currency crisis, and price level adjustment -- Outlook : international capital flows in the MFT approach.
Özet:
Attempts to revive what Keynes stressed in his "General Theory", namely the role of the financial market in macroeconomic outcomes. This book focuses on reviving a modelling tradition that provides a theoretical framework that throws light on financial market episodes and disturbances and their macroeconomic effects.
Copies:
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Library | Materyal Türü | Demirbaş | Yer Numarası | Durumu / Lokasyon / İade Tarihi |
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Arıyor... | Kitap | EKOBKN0007605 | 332 FIN 2009 | Arıyor... |