Results 61-70 of 268.
|2012 ||Measuring macroprudential risk through financial fragility: A Minskyan approach||Tymoigne, Éric
|2012 ||Fiscal policy, unemployment insurance, and financial crises in a model of growth and distribution||Hannsgen, Greg
|2008 ||Changes in the US financial system and the subprime crisis||Kregel, Jan
|2012 ||On the utilization controversy: A theoretical and empirical discussion of the Kaleckian model of growth and distribution||Nikiforos, Michalis
|2013 ||Stock-flow consistent modeling through the ages||Caverzasi, Eugenio / Godin, Antoine
|2012 ||Conflicting claims in the eurozone? Austerity's myopic logic and the need for a European federal union in a Post-Keynesian eurozone center-periphery model||Botta, Alberto
|2013 ||Uncertainty and contradiction: An essay on the business cycle||Nikiforos, Michalis
|2012 ||Post-Keynesian institutionalism after the great recession||Whalen, Charles J.
|2008 ||Capital accumulation, labour market institutions, and unemployment in the medium run||Stockhammer, Engelbert / Klär, Erik
|2005 ||Monetary policy strategies of the European Central Bank and the Federal Reserve Bank of the US||Sardoni, Claudio / Wray, L. Randall