Reconstructing Keynesian Macroeconomics Volume 3/

By: Chiarella, Carl Flaschel, Peter Semmler, WilliMaterial type: TextTextPublication details: New York: Routledge, 2014ISBN: 9781315736969Subject(s): Economics | FinanceOnline resources: Click here to access online
Contents:
Part I Housing Market, Household Debt and Boom-Bust Cycles 1. Boom-Bust Cycles in the Housing Market 2. Income Distribution, Credit Market and Household Debt Part II Banking Sector and Macro Dynamics 3. The Vulnerability of Traditional Banking 4. The Perils of Broad Banking and Narrow Banking 5. The Instability of Investment Banking Part III Credit Bubbles, Asset Prices and Monetary Policy 6. Tobin’s q, Investment and the Credit Market 7. Liquidity, Output and Regime Changes 8. Credit Bubble, Default Risk and Asset Pricing 9. Asset Price Volatility and Monetary Policy Rules 10. Financial Stress Regimes and Monetary Policy Part IV Stabilizing the Financial-Real Interaction 11. Taming Financial Market Driven Economic Fluctuations 12. Stabilizing a Financially Unstable Economy Part V Higher Dimensional Macrodynamics 13. Higher Dimensional Macro Structure 14. Higher Dimensional Macro Dynamics 15. Numerical Explorations of the Dynamics 16. Uncertain Outcomes in High Dimensional Macro Models and Relevance of Policies
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Item type Current library Call number Status Date due Barcode Item holds
e-Books e-Books Central Library, Sikkim University
Not for loan E-732
Total holds: 0

Part I Housing Market, Household Debt and Boom-Bust Cycles
1. Boom-Bust Cycles in the Housing Market
2. Income Distribution, Credit Market and Household Debt

Part II Banking Sector and Macro Dynamics
3. The Vulnerability of Traditional Banking
4. The Perils of Broad Banking and Narrow Banking
5. The Instability of Investment Banking

Part III Credit Bubbles, Asset Prices and Monetary Policy
6. Tobin’s q, Investment and the Credit Market
7. Liquidity, Output and Regime Changes
8. Credit Bubble, Default Risk and Asset Pricing
9. Asset Price Volatility and Monetary Policy Rules
10. Financial Stress Regimes and Monetary Policy

Part IV Stabilizing the Financial-Real Interaction
11. Taming Financial Market Driven Economic Fluctuations
12. Stabilizing a Financially Unstable Economy

Part V Higher Dimensional Macrodynamics
13. Higher Dimensional Macro Structure
14. Higher Dimensional Macro Dynamics
15. Numerical Explorations of the Dynamics
16. Uncertain Outcomes in High Dimensional Macro Models and Relevance of Policies

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