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Business and Management x Financial Institutions and Services x General Aggregative Models x clear all

Income distribution and the size of the financial sector: a Sraffian analysis

Carlo Panico, Antonio Pinto and Martín Puchet Anyul.

in Cambridge Journal of Economics

November 2012; p ublished online March 2012 .

Journal Article. Subjects: Financial Regulation; Economic Methodology; History of Economic Thought (1925 onwards); Microeconomics; Analysis of Collective Decision-making; Corporate Regulation; General Aggregative Models; Money and Interest Rates; History of Economic Thought (to 1925). 13059 words.

This paper explores the existence of links among the recent trends in income distribution, in the turnover of the financial industry and in financial regulation, moving from Sraffa’s...

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Why don't the bailouts work? Design of a new financial system versus a return to normalcy

Jan Kregel.

in Cambridge Journal of Economics

July 2009; p ublished online July 2009 .

Journal Article. Subjects: Economics; Prices, Business Fluctuations, and Cycles; Corporate Regulation; Monetary Policy, Central Banking, and the Supply of Money and Credit; General Aggregative Models; Banking. 6575 words.

The innovative support measures introduced by the US Central Bank and Treasury in response to the current crisis to bolster bank balance sheets have had little success in restoring...

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