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Artículo de revista ; This note discusses recent theoretical work analyzing the causes of financial instability, its consequences for the macroeconomy, and thus the potential role for macroprudential policy. After discussing how information asymmetries and strategic complementarities can cause...
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El documento analiza el nivel y la evolución de la desigualdad en España durante la última crisis y la fase inicial de la actual recuperación. Para tal fin, el trabajo introduce, inicialmente, distintas dimensiones de la desigualdad en términos de salarios, renta, consumo y riqueza, y...
Persistent link: https://www.econbiz.de/10012532115
The Banco de España uses various microeconomic models, mostly of an empirical nature, to support its decision-making in relation to the analysis of economic and financial risks and economic policy advice. These models, which complement those of a macroeconomic nature, seeks to identify the...
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