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Search: subject_exact:"Macroeconomics"
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Incorporating Diagnostic Expectations into the New Keynesian Framework
L'Huillier, Jean-Paul
;
Singh, Sanjay R.
;
Yoo, Donghoon
-
2021
Diagnostic expectations constitute a realistic behavioral model of inference. This paper shows that this approach for expectation formation can be productively integrated into the New Keynesian framework. To this end, we start by offering a first technical treatment of diagnostic expectations in...
Persistent link: https://www.econbiz.de/10012655886
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2
The economics of instability: An abstract of an excerpt
Veneroso, Frank
-
2018
The dominant postwar tradition in economics assumes the utility maximization of economic agents drives markets toward stable equilibrium positions. In such a world there should be no endogenous asset bubbles and untenable levels of private indebtedness. But there are. There is a competing...
Persistent link: https://www.econbiz.de/10012142950
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3
Quantitative easing and asset bubbles in a stock-flow consistent framework
Haas, Cameron
;
Young-Taft, Tai
-
2017
Ever since the Great Recession, central banks have supplemented their traditional policy tool of setting the short-term interest rate with massive buyouts of assets to extend lines of credit and jolt flagging demand. As with many new policies, there have been a range of reactions from...
Persistent link: https://www.econbiz.de/10011784687
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4
Post-Keynesian macroeconomics since the mid-1990s: Main developments
Hein, Eckhard
-
2016
In this paper the main developments in post-Keynesian macroeconomics since the mid- 1990s will be reviewed. For this purpose the main differences between heterodox economics in general, including post-Keynesian economics, and orthodox economics will be reiterated and an overview over the strands...
Persistent link: https://www.econbiz.de/10011565324
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5
Marx's theory of money and 21st-century macrodynamics
Young-Taft, Tai
-
2015
Marx's theory of money is critiqued relative to the advent of fiat and electronic currencies and the development of financial markets. Specific topics of concern include (1) today's identity of the money commodity, (2) possible heterogeneity of the money commodity, (3) the categories of land and...
Persistent link: https://www.econbiz.de/10011545301
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6
Endogenous money and the natural rate of interest: The reemergence of liquidity preference and animal spirits in the post-Keynesian theory of capital markets
Pilkington, Philip
-
2014
Since the beginning of the fall of monetarism in the mid-1980s, mainstream macroeconomics has incorporated many of the principles of post-Keynesian endogenous money theory. This paper argues that the most important critical component of post-Keynesian monetary theory today is its rejection of...
Persistent link: https://www.econbiz.de/10010513071
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7
An interview with Neil Wallace
Altig, David
;
Nosal, Ed
-
2013
A few years ago we sat down with Neil Wallace and had two lengthy, free-ranging conversations about his career and, generally speaking, his views on economics. What follows is a distillation of these conversations.
Persistent link: https://www.econbiz.de/10010352164
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8
Time, expectations and financial markets
Herr, Hansjörg
-
2009
After the breakdown of the Bretton Woods system and the beginning of the neoliberal revolution, financial markets became very unstable. The theoretical background of the neoliberal revolution stands in the tradition of Léon Walras. He was very much impressed by Isaac Newton, used his...
Persistent link: https://www.econbiz.de/10010309124
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9
Accounting for changes in the homeownership rate
Chambers, Matthew
;
Garriga, Carlos
;
Schlagenhauf, Don E.
-
2007
After three decades of being relatively constant, the homeownership rate increased over the 1994-2005 period to attain record highs. The objective of this paper is to account for the observed boom in ownership by examining the role played by changes in demographic factors and innovations in the...
Persistent link: https://www.econbiz.de/10010292289
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10
Equilibrium mortgage choice and housing tenure decisions with refinancing
Chambers, Matthew S.
;
Garriga, Carlos
;
Schlagenhauf, Don
-
2007
The last decade has brought about substantial mortgage innovation and increased refinancing. The objective of this paper is to understand the determinants and implications of mortgage choice in the context of a general equilibrium model with incomplete markets. The equilibrium characterization...
Persistent link: https://www.econbiz.de/10010292368
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