Global Financial Instability
Framework, Events, Issues
Datos Bibliográficos
| ID | 4029279 |
|---|---|
| Autores | Frederic S Mishkin (0000-0003-4150-1971, Graduate School of Business, Columbia University, Cambridge, Massachusetts; National Bureau of Economic Research, Cambridge, Massachusetts., autor de correspondencia) |
| Año | 1999 |
| Volumen | 13 |
| Número | 4 |
| Páginas | 3-20 |
| Fecha de publicación | 1999-11-01 |
| Peer Reviewed | Sí |
| Open Access | Sí |
| Tipo | ARTICLE |
| Revista | The Journal of Economic Perspectives (JOURNAL) |
| Identificadores de la revista | ISSN: 0895-3309 • E-ISSN: 1944-7965 |
| Editorial | American Economic Association (PUBLISHER • US) |
| DOI | 10.1257/jep.13.4.3 |
| OpenAlex | W2012272586 |
| Idioma | EN |
| Citas recibidas | 25 |
| Referencias citadas | 11 |
Two of the key questions facing policymakers today are how to reduce the risk of global financial instability and how to cope with it when it occurs. This paper starts by defining financial instability and then showing how it harms economic activity. It then uses this framework to describe what happened during the recent financial crises in Mexico and East Asia. The paper ends by raising several key policy issues; not coincidentally, these issues are addressed in the remaining papers in the symposium
Business · Economics · Financial system · Instability · Physics · Banking stability, regulation, efficiency · Economic Theory and Policy · Global Financial Crisis and Policies · Finance
The Evaluation of Financial Stability and Soundness of Lithuanian Banks
Inflation targeting works well in Latin America
Local Currency or Foreign Currency Debt
Safeguarding Financial Stability
Coercive Origin of Banking Giants
A corporate balance-sheet approach to currency crises
Financial stability and entrepreneurship development in sub-Sahara Africa
Early warning models for systemic banking crises
Politique monétaire et finance chez les Nouveaux Keynésiens
Geopolitical risks, uncertainty, and stock market performance
The financial gap for women in the Mena region
Is monetary policy safeguarding financial stability in India
Dual Exchange Markets for Countries Facing Financial Crises
Investment, devaluation, and foreign currency exposure
Recovery from a currency crisis
The state as the investor of last resort
Crises cambiais e financeiras
Banking stability and borrower discouragement
Financial Development in Uncertain Economies
Exchange Rate Volatility and Democratization in Emerging Market Countries
The Causes of Globalization
Financial Market Discipline in Early-Twentieth-Century Mexico
The Crisis of 1873
How Effective are Capital Controls
Performativity of Risk and the Boundaries of Economic Sociology
| Obras citantes distintas | 25 |
|---|---|
| Citas por año | 0,93 |
| Intervalo de citas | 1999 - 2025 (27) |
| Velocidad de citación | recent |
| Altamente citado | No |
| Tipos de cita | Neutras: 21 |