Fear and Market Failure: Global Imbalances and 'Self-insurance'
Year of publication: |
2006-12
|
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Authors: | Miller, Marcus ; Zhang, Lei |
Institutions: | C.E.P.R. Discussion Papers |
Subject: | liquidity trap | loss aversion | stochastic dynamic general equilibrium |
Extent: | application/pdf |
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Series: | |
Type of publication: | Book / Working Paper |
Notes: | Number 6000 |
Classification: | D51 - Exchange and Production Economies ; D52 - Incomplete Markets ; E12 - Keynes; Keynesian; Post-Keynesian ; E13 - Neoclassical ; E21 - Consumption; Saving ; E44 - Financial Markets and the Macroeconomy ; F32 - Current Account Adjustment; Short-Term Capital Movements |
Source: |
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Fear and market failure: Global imbalances and self-insurance
Miller, Marcus, (2007)
-
Capital Flows, Interest Rates and Precautionary Behaviour: a model of "global imbalances"
Miller, Marcus, (2006)
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Capital Flows, Interest Rates and Precautionary Behaviour: a model of Global Imbalances
Miller, Marcus, (2007)
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When bigger isn’t better: Bail outs and bank behaviour
Li, Han Hao, (2011)
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World Finance and the US 'New Economy': Risk Sharing and Risk Exposure
Miller, Marcus, (2005)
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Optimal Target Zones: How an Exchange Rate Mechanism Can Improve Upon Discretion
Miller, Marcus, (1994)
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