Towards an integrated picture of banks and finance in the history of macroeconomics
Bibliographic Data
| ID | 21458236 |
|---|---|
| Authors | Goulven Rubin (0009-0003-2708-569X, corresponding author) |
| Year | 2021 |
| Volume | 78 |
| Issue | 2 |
| Pages | 271-281 |
| Publication date | 2021-03-02 |
| Peer Reviewed | Yes |
| Open Access | No |
| Type | ARTICLE |
| Venue | Cahiers d économie politique (JOURNAL) |
| Journal identifiers | ISSN: 0154-8344 • E-ISSN: 1969-6779 |
| Publisher | CAIRN (PUBLISHER) |
| DOI | 10.3917/cep1.078.0271 |
| OpenAlex | W3160177401 |
| Language | EN |
| References cited | 22 |
International audience
Economics · Keynesian economics · Macroeconomics · Banking stability, regulation, efficiency · Economic Theory and Policy · Global Financial Crisis and Policies
A History of Macroeconomics from Keynes to Lucas and Beyond
Mr. Keynes and the "Classics"; A Suggested Interpretation
Chapter 12 Finance and Growth
A model of unconventional monetary policy
The Monetary Mechanism and Its Interaction with Real Phenomena
Bank Runs, Deposit Insurance, and Liquidity
Credit Cycles
The Rate of Interest and the Optimum Propensity to Consume
Keynes, IS-LM, and the Marshallian Tradition
Bank Behavior in Large-Scale Macroeconometric Models of the 1960s
Robert Solow's Non-Walrasian Conception of Economics
| Citation velocity | historical |
|---|---|
| Highly cited | No |