MODELS OF FINANCIAL SYSTEM FRAGILITY

被引:0
|
作者
Iancu, Aurel [1 ]
机构
[1] Romanian Acad, Natl Inst Econ Res, Complex Res Dept, Bucharest, Romania
来源
关键词
instability; model generations; balance sheet; hedge units; speculative units; Ponzi units; cyclical fluctuations; complexity; POLICIES; ISSUES;
D O I
暂无
中图分类号
F [经济];
学科分类号
02 ;
摘要
This survey analyses two types of models: 1. Models based on assumptions of monetary and financial market equilibrium disturbance, in line with mainstream thinking according to which if there is a self-regulating market the units would have rational expectations, and the crisis would be a temporary phenomenon caused by exogenous shocks. Here are the main objectives and features characteristic of three generations of models; 2. Models based on financial instability hypothesis, taking into account the dynamics of financial market, as well as the role of uncertainty, interdependency and dynamic complexity. We present here Minsky's concept of financial instability and then analyse the content of some simplified models.
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页码:230 / 256
页数:27
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