Debt, financial fragility, and systemic risk

Davis explores, in both theoretical and empirical terms, the nature of the relationships in advanced industrial economies between levels and changes in borrowing, vulnerability to default in the non-financial sector, and widespread instability in the financial sector

Bibliographic Details
Main Author: Davis, E. P.
Format: eBook
Language:English
Published: Oxford Clarendon 1992, 1992
Subjects:
Online Access:
Collection: Oxford University Press - Collection details see MPG.ReNa
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