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Die Arbeit untersucht die Aussagen des Sachverständigenrates zur Beurteilung der gesamtwirtschaftlichen Entwicklung (SVR) bezüglich der Stabilität der Finanzmärkte. Die systemischen Risiken von Finanzmärkten werden vom SVR klar angesprochen, die Notwendigkeit einer staatlichen Regulierung...
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We use a Diamond/Dybvig-based model with two banks operating in separate regions connected by a common asset market in which banks and sophisticated depositors invest. We study the effect of a potential run (crisis) and subsequent fire sales on the asset price in both the crisis and no-crisis...
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The world's best financial minds help us understand today's financial crisis With so much information saturating the …
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"This volume focuses on current issues of debate in the area of modern macroeconomics and money, written from (a broadly interpreted) post Keynesian perspective. The papers connect with Philip Arestis' contributions to macroeconomics and money, and pay tribute to his distinguished...
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