000 | 00953nab a2200241 a 4500 | ||
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001 | C00071595c-9 | ||
003 | DO-SdBDB | ||
005 | 20230317143218.0 | ||
008 | 141124c20142014-usmr p r 0 0ing d | ||
022 | _a03043932 | ||
040 |
_aDO-SdBDB _bspa _cDO-SdBDB |
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041 | _aing | ||
043 | _a-us | ||
100 | 1 | _aGertler, Mark. | |
245 | 1 | 0 | _aFinancial crises, bank risk exposure and government financial policy. |
504 | _aBibliografía : página 34. | ||
505 | 0 | 0 |
_aIntroduction, 17 ; _tThe baseline model, 18 ; _tCrisis simulations and policy experiments, 25 ; _tConclusion, 33 ; |
520 | _aA macroeconomic model with financial international intermediation is developed in which the intermediaries(banks) can issue outside equity as well as short term debt. | ||
650 | _aCrisis financiera. | ||
650 | _aPolítica financiera. | ||
773 | 0 |
_tJournal of monetary economics, _b59 : 17-34, _dLondon, Elsevier, dic., 2012 |
|
942 | _cAPP | ||
999 |
_c113360 _d113360 |