Editorial: Introduction to international financial markets and banking systems crises
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- A model of capital and crises
- A model of financial crises in emerging markets
- A simple macroeconomic model with extreme financial frictions
- Asset Bubbles and Overlapping Generations
- Bank Runs, Deposit Insurance, and Liquidity
- Banking and sovereign debt crises in a monetary union without central bank intervention
- Collateral fluctuations in a monetary economy
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- Dynamic two‐country Heckscher–Ohlin model with externality
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- Indeterminacy and sunspots with constant returns
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- On rational exuberance
- On the Possibility of Speculation under Rational Expectations
- Portfolio constraints, differences in beliefs and bubbles
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- Trade and indeterminacy in a dynamic general equilibrium model
- Trade, redistribution and indeterminacy
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