000 | 01120nab a2200241 a 4500 | ||
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001 | C00070921c-2 | ||
003 | «a»DO-SdBDB | ||
005 | 20230314222355.0 | ||
008 | 140812s20142014-usmr p r 0 0eng d | ||
022 | _a00028282 | ||
040 |
_aDO-SdBDB _bspa _cDO-SdBDB |
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041 | 0 | _aeng | |
100 | 1 | _aBrunnermeier, Markus K. | |
245 | 1 | 2 | _aA macroeconomic model with a financial sector. |
504 | _aBibliografía : páginas 419-421. | ||
505 | 0 | 0 |
_aThe baseline model, 384 ; _tSolving for the equilibrium, 389 ; _tInstability, endogenous risk, and asset pricing, 398 ; _tVolatility paradox and the Kocherlakota critique, 406 ; _tBorrowing costs and financial innovations, 408 ; _tEfficiency and macroprudential policies, 413 ; _tConclusions, 419 |
520 | _aThis article studies the full equilibrium dynamics of an economy with financial frictions. | ||
650 | _aMacroeconomía. | ||
650 | _aInstituciones financieras internacionales. | ||
700 | 1 | _aSannikov, Yuliy. | |
773 | 0 |
_tAmerican economic review, _b104(2) : 379-421, _dEstados Unidos, The American Economic Association, feb., 2014 |
|
942 | _cAPP | ||
999 |
_c100963 _d100963 |