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Chapter 12. Dynamic Stochastic Equilibrium Models with Financial Frictions
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Kapitel in diesem Buch
- Frontmatter i
- Contents vii
- Preface to the Fourth Edition xix
- Introduction and Overview 1
-
Part I: Macroeconomic Accounts, Market Structure, and Behavioral Functions
- Chapter 1. Economic Structure and Aggregate Accounts 12
- Chapter 2. Behavioral Functions 52
-
Part II: Financial Policies
- Chapter 3. The Government Budget and Fiscal Management 78
- Chapter 4. Macroeconomic Effects of Fiscal Policy 109
- Chapter 5. Financial Markets and the Monetary Transmission Mechanism 144
- Chapter 6. A Framework for Monetary Policy Analysis 182
- Chapter 7. Inflation Targeting, Macroeconomic Stability, and Financial Stability 224
- Chapter 8. Choosing an Exchange-Rate Regime I: Credibility, Flexibility, and Welfare 262
- Chapter 9. Choosing an Exchange-Rate Regime II: The Role of Shocks, Contractionary Effects, and Moral Hazard 295
-
Part III: Inflation Stabilization and Applied Models for Monetary Policy Analysis
- Chapter 10. Inflation and Short-Run Dynamics 331
- Chapter 11. Analytical Issues in Disinflation Programs 381
- Chapter 12. Dynamic Stochastic Equilibrium Models with Financial Frictions 441
-
Part IV: Financial Openness, Capital Flows, and Financial Crises
- Chapter 13. Financial Integration and Capital Flows 476
- Chapter 14. Exchange-Rate Crises and Sudden Stops 514
- Chapter 15. Banking Crises and Twin Crises 550
- Chapter 16. Sovereign Debt Crises 572
-
Part V: Growth, Structural Reforms, and Political Economy
- Chapter 17. Macroeconomic Policies and Growth 602
- Chapter 18. Trade Liberalization, Financial-Sector Reforms, and Sequencing 640
- Chapter 19. The Political Economy of Adjustment 675
- Epilogue 697
- References 701
- Index of Names 741
- Index of Subjects 751
Kapitel in diesem Buch
- Frontmatter i
- Contents vii
- Preface to the Fourth Edition xix
- Introduction and Overview 1
-
Part I: Macroeconomic Accounts, Market Structure, and Behavioral Functions
- Chapter 1. Economic Structure and Aggregate Accounts 12
- Chapter 2. Behavioral Functions 52
-
Part II: Financial Policies
- Chapter 3. The Government Budget and Fiscal Management 78
- Chapter 4. Macroeconomic Effects of Fiscal Policy 109
- Chapter 5. Financial Markets and the Monetary Transmission Mechanism 144
- Chapter 6. A Framework for Monetary Policy Analysis 182
- Chapter 7. Inflation Targeting, Macroeconomic Stability, and Financial Stability 224
- Chapter 8. Choosing an Exchange-Rate Regime I: Credibility, Flexibility, and Welfare 262
- Chapter 9. Choosing an Exchange-Rate Regime II: The Role of Shocks, Contractionary Effects, and Moral Hazard 295
-
Part III: Inflation Stabilization and Applied Models for Monetary Policy Analysis
- Chapter 10. Inflation and Short-Run Dynamics 331
- Chapter 11. Analytical Issues in Disinflation Programs 381
- Chapter 12. Dynamic Stochastic Equilibrium Models with Financial Frictions 441
-
Part IV: Financial Openness, Capital Flows, and Financial Crises
- Chapter 13. Financial Integration and Capital Flows 476
- Chapter 14. Exchange-Rate Crises and Sudden Stops 514
- Chapter 15. Banking Crises and Twin Crises 550
- Chapter 16. Sovereign Debt Crises 572
-
Part V: Growth, Structural Reforms, and Political Economy
- Chapter 17. Macroeconomic Policies and Growth 602
- Chapter 18. Trade Liberalization, Financial-Sector Reforms, and Sequencing 640
- Chapter 19. The Political Economy of Adjustment 675
- Epilogue 697
- References 701
- Index of Names 741
- Index of Subjects 751