Debt, financial fragility, and systemic risk /

Davis explores, in both theoretical and empirical terms, the nature of the relationships in advanced industrial economies between levels and changes in borrowing, vulnerability to default in the non-financial sector, and widespread instability in the financial sector.

Bibliographic Details
Main Author: Davis, E. P. (E. Philip), 1957-
Format: eBook
Language:English
Published: Oxford : New York : Clarendon Press ; Oxford University Press, 1992.
Series:UPSO - Oxford University Press E-Books.
Subjects:
Online Access:Connect to the full text of this electronic book
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