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financial repression
19
Financial repression
6
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Schnabl, Gunther
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1
Financial
repression
in general equilibrium: The case of the United States, 1948-1974
Kliem, Martin
;
Kriwoluzky, Alexander
;
Müller, Gernot J.
; …
-
2024
Financial
repression
lowers the return on government debt and contributes, all else equal, towards its liquidation … investment and saving decisions. We develop and estimate a New Keynesian model with
financial
repression
. Based on U.S. data for …
Persistent link: https://www.econbiz.de/10014512648
Saved in:
2
Financial
repression
in general equilibrium: The case of the United States, 1948-1974
Kliem, Martin
;
Kriwoluzky, Alexander
;
Müller, Gernot J.
; …
-
2024
Financial
repression
lowers the return on government debt and contributes, all else equal, towards its liquidation … investment and saving decisions. We develop and estimate a New Keynesian model with
financial
repression
. Based on U.S. data for …
Persistent link: https://www.econbiz.de/10014561421
Saved in:
3
Open mouth operations: Monetary policy by threats and arguments : the monthly meetings between the Riksbank and the commercial banks, 1956-73
Jonung, Lars
-
2023
interest rates. How was monetary policy conducted in such an environment of
financial
repression
, where the central bank was …
Persistent link: https://www.econbiz.de/10014551738
Saved in:
4
Determinants of Japanese Household Saving Behavior in the Low-Interest Rate Environment
Latsos, Sophia
;
Schnabl, Gunther
-
2021
This paper scrutinizes the role of prolonged, expansionary monetary policy on the savings behavior of Japanese households, focusing on the dramatic change of the household savings rate since 1998, from high to low savings. The literature generally attributes this change to the country’s shift...
Persistent link: https://www.econbiz.de/10012581990
Saved in:
5
The aftermath of debt surges
Kose, M. Ayhan
;
Ohnsorge, Franziska
;
Reinhart, Carmen M.
; …
-
2021
, fiscal consolidation, privatization, and wealth taxation) and heterodox options (inflation,
financial
repression
, debt …
Persistent link: https://www.econbiz.de/10013373848
Saved in:
6
The Japanese Banks in the Lasting Low-, Zero- and Negative-Interest Rate Environment
Murai, Taiki
;
Schnabl, Gunther
- In:
Credit and Capital Markets – Kredit und Kapital
54
(
2021
)
1
,
pp. 1-16
The bursting of the Japanese bubble economy in the early 1990s put the stage for a lasting low-, zero-, and negative-interest rate environment, which fundamentally changed the business environment for the Japanese commercial banks. On the income side, with interest margins becoming increasingly...
Persistent link: https://www.econbiz.de/10014522518
Saved in:
7
Sovereign risk and bank fragility
Anand, Kartik
;
Mankart, Jochen
-
2020
We develop a model of bank risk-taking with strategic sovereign default risk. Domestic banks invest in real projects and purchase government bonds. While an increase in bond purchases crowds out profitable investments, it improves the government's incentives to repay and therefore lowers its...
Persistent link: https://www.econbiz.de/10012302181
Saved in:
8
The Japanese banks in the lasting low-, zero- and negative-interest rate environment
Schnabl, Gunther
;
Murai, Taiki
-
2020
The bursting of the Japanese bubble economy in the early 1990s put the stage for a lasting lowzero-, and negative-interest rate environment, which fundamentally changed the business environment for the Japanese commercial banks. On the income side, with interest margins becoming increasingly...
Persistent link: https://www.econbiz.de/10012422760
Saved in:
9
Financial reforms and industrialisation: Evidence from Nigeria
Folarin, Oludele E.
-
2019
Nigeria adopted the Structural Adjustment Programme (SAP) in 1986 after the crash in world oil price in the early 1980s. Financial reforms are part of the reforms implemented during the SAP. Since, industrialisation is seen as an engine of growth, we conduct an empirical assessment of the...
Persistent link: https://www.econbiz.de/10012112143
Saved in:
10
In Pursuit of a Stable Stabilization Policy in Sweden. From the Gold Standard to Inflation Targeting and Beyond
Jonung, Lars
-
2019
In a historical perspective, the stabilization policy regime in Sweden is in a state of constant change, affected by economic crises, international impulses, domestic politics, and developments in macroeconomic theory. Economists have been deeply involved in this process. The current framework...
Persistent link: https://www.econbiz.de/10013208861
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