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来源类型 | Working Paper |
规范类型 | 报告 |
DOI | 10.3386/w18398 |
来源ID | Working Paper 18398 |
Bubbles, Financial Crises, and Systemic Risk | |
Markus K. Brunnermeier; Martin Oehmke | |
发表日期 | 2012-09-13 |
出版年 | 2012 |
语种 | 英语 |
摘要 | This chapter surveys the literature on bubbles, financial crises, and systemic risk. The first part of the chapter provides a brief historical account of bubbles and financial crisis. The second part of the chapter gives a structured overview of the literature on financial bubbles. The third part of the chapter discusses the literatures on financial crises and systemic risk, with particular emphasis on amplification and propagation mechanisms during financial crises, and the measurement of systemic risk. Finally, we point toward some questions for future research. |
主题 | Financial Economics ; Financial Institutions |
URL | https://www.nber.org/papers/w18398 |
来源智库 | National Bureau of Economic Research (United States) |
引用统计 | |
资源类型 | 智库出版物 |
条目标识符 | http://119.78.100.153/handle/2XGU8XDN/576075 |
推荐引用方式 GB/T 7714 | Markus K. Brunnermeier,Martin Oehmke. Bubbles, Financial Crises, and Systemic Risk. 2012. |
条目包含的文件 | ||||||
文件名称/大小 | 资源类型 | 版本类型 | 开放类型 | 使用许可 | ||
w18398.pdf(737KB) | 智库出版物 | 限制开放 | CC BY-NC-SA | 浏览 |
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