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China’s Model of Managing the Financial System

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Publication:5058192
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DOI10.1093/RESTUD/RDAB098OpenAlexW4205953076MaRDI QIDQ5058192FDOQ5058192


Authors: Markus K. Brunnermeier, Michael Sockin, Wei Xiong Edit this on Wikidata


Publication date: 19 December 2022

Published in: Review of Economic Studies (Search for Journal in Brave)

Full work available at URL: https://doi.org/10.1093/restud/rdab098




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zbMATH Keywords

financial stabilitygovernment interventionprice efficiency


Mathematics Subject Classification ID

Macroeconomic theory (monetary models, models of taxation) (91B64) Welfare economics (91B15)



Cited In (2)

  • Dynamic information acquisition and time-varying uncertainty
  • Macroeconomic news, the financial cycle and the commodity cycle: the Chinese footprint





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