Financial collapse: a lesson from the great depression.
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Publication:1867547
DOI10.1006/jeth.2001.2951zbMath1037.91523OpenAlexW1980510503MaRDI QIDQ1867547
Publication date: 2 April 2003
Published in: Journal of Economic Theory (Search for Journal in Brave)
Full work available at URL: https://doi.org/10.1006/jeth.2001.2951
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Cites Work
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- Financial intermediary-coalitions
- Asset price volatility in a nonconvex general equilibrium model
- Financial fragility and the exchange rate regime
- A lattice-theoretical fixpoint theorem and its applications
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- Strategic Complementarity in Business Formation: Aggregate Fluctuations and Sunspot Equilibria
- Serial Cost-Sharing of Excludable Public Goods
- A model of financial fragility
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