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A Macroeconomic Model with Financial Panics

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NBER2017-12-01 更新2025-01-04 收录
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https://www.nber.org/papers/w24126
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This paper incorporates banks and banking panics within a conventional macroeconomic framework to analyze the dynamics of a financial crisis of the kind recently experienced. We are particularly interested in characterizing the sudden and discrete nature of the banking panics as well as the

本文将银行与银行挤兑(banking panics)纳入标准宏观经济框架,以分析近期所经历的这类金融危机的动态演进机制。我们尤为关注对银行挤兑的突发性与离散性特征进行刻画,以及
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2017-12-01
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