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Critical macro-finance, Post Keynesian monetary theory and emerging economies

Bibliographic Data

ID4495182
AuthorsBruno Bonizzi (0000-0003-0122-8739, University of Hertfordshire, corresponding author), Andreas Kaltenbrunner (0000-0003-3519-5197, University of Leeds), Annina Kaltenbrunner
Year2020
Volume6
Issue1
Pages76-86
Publication date2020-01-01
Peer ReviewedYes
Open AccessYes
TypeARTICLE
VenueFinance and Society (JOURNAL)
Journal identifiersISSN: 2059-5999 • E-ISSN: 2059-5999
PublisherCambridge University Press (CUP) (PUBLISHER)
DOI10.2218/finsoc.v6i1.4411
OpenAlexW3034032245
LanguageEN
Citations received10
References cited24

In our contribution to this forum, we suggest that critical macro-finance (CMF) scholars and Post Keynesian monetary theorists would profit from a more explicit engagement with each other. Post Keynesian scholars would benefit from the detailed empirical insights that CMF provides, particularly through its analysis of non-bank financial institutions and the conceptual focus on liquidity and liabilities. Meanwhile, the CMF literature would benefit from more explicit grounding in earlier Post Keynesian concepts. In particular, the theory of liquidity preference, the concept of the liquidity premium, and the theory of endogenous money highlight macroeconomic issues missing from CMF scholarship

Economics · Keynesian economics · Macro · Macroeconomics · Monetary economics · Monetary policy · New Keynesian economics · Post-Keynesian economics · Banking stability, regulation, efficiency · Economic Theory and Policy · Global Financial Crisis and Policies

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Unique citing works10
Citations per year1,67
Citation span2020 - 2026 (7)
Citation velocitycurrent
Highly citedNo
Citation typesNeutral: 10

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