Evoluation of money, banking and financial crisis: history, theory and policy
This book covers deep researches from different perspectives and disciplines in the historical and future perspectives of money and financial markets and corporations by successful and expert researchers in their fields
Gespeichert in:
Weitere Verfasser: | , |
---|---|
Format: | Elektronisch E-Book |
Sprache: | English |
Veröffentlicht: |
Berlin ; Bern ; Bruxelles ; New York ; Oxford ; Warszawa ; Wien
Peter Lang
[2020]
|
Schlagworte: | |
Zusammenfassung: | This book covers deep researches from different perspectives and disciplines in the historical and future perspectives of money and financial markets and corporations by successful and expert researchers in their fields |
Beschreibung: | 1 Online-Ressource (364 Seiten) Diagramme |
ISBN: | 9783631835456 9783631835463 9783631835470 |
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245 | 1 | 0 | |a Evoluation of money, banking and financial crisis |b history, theory and policy |c Burak Darici, Çagatay Başarir (eds.) |
246 | 1 | 3 | |a Evolution of money, banking and financial crisis |
246 | 1 | 3 | |a Evaluation of money, banking and financial crisis |
264 | 1 | |a Berlin ; Bern ; Bruxelles ; New York ; Oxford ; Warszawa ; Wien |b Peter Lang |c [2020] | |
264 | 4 | |c © 2020 | |
300 | |a 1 Online-Ressource (364 Seiten) |b Diagramme | ||
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505 | 8 | |a Cover -- Copyright information -- Preface and Acknowledgments -- Contents -- Section 1 Money, Exchange Rate, and Finance -- Section 2 Financial Systems, Stock Markets, and Financial Crisis -- Exchange Rate Uncertainty and Dollarization in Turkey -- 1 Data and Methodology -- 1.1. Analysis -- References -- Banking, Currency and Fiscal Crisis -- 1 Banking Crises -- 2 Currency Crises -- 2.1 Theories -- 2.2 Noneconomic Factors Affecting Currency Crises -- 2.3 The Choice of a Currency Regime -- 2.4 Monetary Policy Response to Currency Crises -- 3. Fiscal Crises -- The Asian Crisis and Eurozone Crisis -- Conclusion -- References -- Financial Systems Importance, Differences, and Convergence -- Introduction -- 1 Economic Functions Performed by the Global Financial System -- 1.1. Reducing Information Asymmetry and Transaction Costs -- 1.2. Trading, Diversification, and Management of Risk -- 2. Financial Systems, Development, and Growth -- 3. Differences Between National Financial Systems -- 4. Financial Stability -- Conclusion -- References -- Financial Speculation and Bubble: An Empirical Investigation of Bubble in the Turkish Stock Market -- Introduction -- 1 Literature Review -- 2 Econometric Model and Data -- 2.1 Empirical Results -- Conclusion -- Islamic Finance in the Framework of Financial Crisis and the Evaluation of Islamic Finance -- Introduction -- 1 Importance of Islamic Finance -- 2 Funding Methods of Islamic Finance -- 3 Status and Development of Islamic Finance in the Framework of Financial Crisis -- 4 Literature on Islamic Finance and Financial Crisis -- Conclusion and Recommendations -- References -- Analysis of Reserve Option Mechanism Applied for Providing Financial Stability -- Introduction -- 1 Literature Review -- 2 Aim, Hypothesis, and Methodology -- 2.1 Data Sets and Variables -- 3 Empirical Findings | |
505 | 8 | |a 3.1 Stationarity Analysis of Series -- 3.2 Impact Analysis of ROM with VAR Model -- Conclusions -- References -- An Econometric Analysis of the Current Account Deficit-External Debt Relationship: The Case of Turkey -- Introduction -- 1 Econometric Application -- 1.1 Data Set and Methodology -- 1.2 Empirical Findings -- Conclusion -- References -- Impact of Financial Development on Current Deficit in Turkey: ARDL Bound Test Analysis -- Introduction -- 1 Literature -- 2 Data and Model -- 3 Methodology and Empirical Findings -- 3.1 Unit Root Analysis -- 3.2 ARDL Cointegration Test -- 3.3 ARDL Model Estimation -- 3.4 Results of Error Correction Model of ARDL and Long-Run Coefficients -- Conclusions -- References -- Effect of Financing Resources on Profit, Investment, and Firm Value: Comparison of BIST and NYSE -- Introduction -- 1 Literature -- 2 Data, Method, and Application -- 2.1 Data Set -- 2.2 Econometric Method -- 2.3 Application of the Model -- 2.4 Analysis of the Model -- Conclusion -- References -- Investigation of Weak Form Market Efficiency of EU Country Stock Markets in the Crisis Period -- Introduction -- 1 Literature Review -- 2 Data and Methodology -- 2.1 Data -- 2.2 Methodology -- 3 Results -- Conclusion -- References -- Towards an Activist Monetary Policy: Challenges for Central Banking in the Post-Crisis Era -- Introduction -- 1 From Business Cycle to Financial Cycle -- 2 Minimalist versus Activist Monetary Policy -- References -- Section 3 Banking and Risk Management -- Assessing Credit Cycle Dynamics in the Turkish Banking Sector -- Introduction -- 1 Literature Review -- 2 De-trending Methodology -- 3 Data -- 4 Empirical Results -- Conclusion -- References -- The Effect of Basel Regulations on Banking Efficiency: Evidence from Turkey -- Introduction -- 1 Literature Review -- 2 Data and Variables -- 3 Model Specification | |
505 | 8 | |a 4 Determinants of Inefficiency -- 5 Empirical Findings -- 5.1 Cost Frontier Estimates -- 5.2 Cost Frontier Estimates -- 5.3 Robustness Tests: Quantile Regression Analysis -- Conclusion and Policy Implications -- References -- Long-Term Analysis of Riskiness in the Turkish Banking Sector -- Introduction -- 1 Literature Review -- 2 Methodology -- 3 Data and Empirical Results -- 3.1 General Results for the Turkish Banking Sector -- 3.2 Results for Individual Banks -- Conclusions and Suggestions -- References -- The Determinants of Bank's Stock Volatility 1 -- Introduction -- 1 Literature Review -- 2 Method and Analysis -- 3 Results -- Conclusion -- References -- Determinants of Non-performing Loans: Evidence from the Turkish Banking Sector -- Introduction -- 1 Literature Review -- 2 Empirical Analysis -- 2.1 Data -- 2.2 Methodology -- 2.3 Estimation Results -- Conclusion -- References -- List of Figures and Graphs -- List of Tables | |
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Datensatz im Suchindex
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author2 | Darıcı, Burak 1976- Başarır, Çağatay 1980- |
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building | Verbundindex |
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classification_rvk | QK 010 |
collection | ZDB-30-PQE ebook |
contents | Cover -- Copyright information -- Preface and Acknowledgments -- Contents -- Section 1 Money, Exchange Rate, and Finance -- Section 2 Financial Systems, Stock Markets, and Financial Crisis -- Exchange Rate Uncertainty and Dollarization in Turkey -- 1 Data and Methodology -- 1.1. Analysis -- References -- Banking, Currency and Fiscal Crisis -- 1 Banking Crises -- 2 Currency Crises -- 2.1 Theories -- 2.2 Noneconomic Factors Affecting Currency Crises -- 2.3 The Choice of a Currency Regime -- 2.4 Monetary Policy Response to Currency Crises -- 3. Fiscal Crises -- The Asian Crisis and Eurozone Crisis -- Conclusion -- References -- Financial Systems Importance, Differences, and Convergence -- Introduction -- 1 Economic Functions Performed by the Global Financial System -- 1.1. Reducing Information Asymmetry and Transaction Costs -- 1.2. Trading, Diversification, and Management of Risk -- 2. Financial Systems, Development, and Growth -- 3. Differences Between National Financial Systems -- 4. Financial Stability -- Conclusion -- References -- Financial Speculation and Bubble: An Empirical Investigation of Bubble in the Turkish Stock Market -- Introduction -- 1 Literature Review -- 2 Econometric Model and Data -- 2.1 Empirical Results -- Conclusion -- Islamic Finance in the Framework of Financial Crisis and the Evaluation of Islamic Finance -- Introduction -- 1 Importance of Islamic Finance -- 2 Funding Methods of Islamic Finance -- 3 Status and Development of Islamic Finance in the Framework of Financial Crisis -- 4 Literature on Islamic Finance and Financial Crisis -- Conclusion and Recommendations -- References -- Analysis of Reserve Option Mechanism Applied for Providing Financial Stability -- Introduction -- 1 Literature Review -- 2 Aim, Hypothesis, and Methodology -- 2.1 Data Sets and Variables -- 3 Empirical Findings 3.1 Stationarity Analysis of Series -- 3.2 Impact Analysis of ROM with VAR Model -- Conclusions -- References -- An Econometric Analysis of the Current Account Deficit-External Debt Relationship: The Case of Turkey -- Introduction -- 1 Econometric Application -- 1.1 Data Set and Methodology -- 1.2 Empirical Findings -- Conclusion -- References -- Impact of Financial Development on Current Deficit in Turkey: ARDL Bound Test Analysis -- Introduction -- 1 Literature -- 2 Data and Model -- 3 Methodology and Empirical Findings -- 3.1 Unit Root Analysis -- 3.2 ARDL Cointegration Test -- 3.3 ARDL Model Estimation -- 3.4 Results of Error Correction Model of ARDL and Long-Run Coefficients -- Conclusions -- References -- Effect of Financing Resources on Profit, Investment, and Firm Value: Comparison of BIST and NYSE -- Introduction -- 1 Literature -- 2 Data, Method, and Application -- 2.1 Data Set -- 2.2 Econometric Method -- 2.3 Application of the Model -- 2.4 Analysis of the Model -- Conclusion -- References -- Investigation of Weak Form Market Efficiency of EU Country Stock Markets in the Crisis Period -- Introduction -- 1 Literature Review -- 2 Data and Methodology -- 2.1 Data -- 2.2 Methodology -- 3 Results -- Conclusion -- References -- Towards an Activist Monetary Policy: Challenges for Central Banking in the Post-Crisis Era -- Introduction -- 1 From Business Cycle to Financial Cycle -- 2 Minimalist versus Activist Monetary Policy -- References -- Section 3 Banking and Risk Management -- Assessing Credit Cycle Dynamics in the Turkish Banking Sector -- Introduction -- 1 Literature Review -- 2 De-trending Methodology -- 3 Data -- 4 Empirical Results -- Conclusion -- References -- The Effect of Basel Regulations on Banking Efficiency: Evidence from Turkey -- Introduction -- 1 Literature Review -- 2 Data and Variables -- 3 Model Specification 4 Determinants of Inefficiency -- 5 Empirical Findings -- 5.1 Cost Frontier Estimates -- 5.2 Cost Frontier Estimates -- 5.3 Robustness Tests: Quantile Regression Analysis -- Conclusion and Policy Implications -- References -- Long-Term Analysis of Riskiness in the Turkish Banking Sector -- Introduction -- 1 Literature Review -- 2 Methodology -- 3 Data and Empirical Results -- 3.1 General Results for the Turkish Banking Sector -- 3.2 Results for Individual Banks -- Conclusions and Suggestions -- References -- The Determinants of Bank's Stock Volatility 1 -- Introduction -- 1 Literature Review -- 2 Method and Analysis -- 3 Results -- Conclusion -- References -- Determinants of Non-performing Loans: Evidence from the Turkish Banking Sector -- Introduction -- 1 Literature Review -- 2 Empirical Analysis -- 2.1 Data -- 2.2 Methodology -- 2.3 Estimation Results -- Conclusion -- References -- List of Figures and Graphs -- List of Tables |
ctrlnum | (ZDB-30-PQE)EBC6378603 (ZDB-30-PAD)EBC6378603 (ZDB-89-EBL)EBL6378603 (OCoLC)1312165317 (DE-599)BVBBV048323287 |
discipline | Wirtschaftswissenschaften |
discipline_str_mv | Wirtschaftswissenschaften |
format | Electronic eBook |
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index_date | 2024-07-03T20:12:42Z |
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spelling | Evoluation of money, banking and financial crisis history, theory and policy Burak Darici, Çagatay Başarir (eds.) Evolution of money, banking and financial crisis Evaluation of money, banking and financial crisis Berlin ; Bern ; Bruxelles ; New York ; Oxford ; Warszawa ; Wien Peter Lang [2020] © 2020 1 Online-Ressource (364 Seiten) Diagramme txt rdacontent c rdamedia cr rdacarrier Cover -- Copyright information -- Preface and Acknowledgments -- Contents -- Section 1 Money, Exchange Rate, and Finance -- Section 2 Financial Systems, Stock Markets, and Financial Crisis -- Exchange Rate Uncertainty and Dollarization in Turkey -- 1 Data and Methodology -- 1.1. Analysis -- References -- Banking, Currency and Fiscal Crisis -- 1 Banking Crises -- 2 Currency Crises -- 2.1 Theories -- 2.2 Noneconomic Factors Affecting Currency Crises -- 2.3 The Choice of a Currency Regime -- 2.4 Monetary Policy Response to Currency Crises -- 3. Fiscal Crises -- The Asian Crisis and Eurozone Crisis -- Conclusion -- References -- Financial Systems Importance, Differences, and Convergence -- Introduction -- 1 Economic Functions Performed by the Global Financial System -- 1.1. Reducing Information Asymmetry and Transaction Costs -- 1.2. Trading, Diversification, and Management of Risk -- 2. Financial Systems, Development, and Growth -- 3. Differences Between National Financial Systems -- 4. Financial Stability -- Conclusion -- References -- Financial Speculation and Bubble: An Empirical Investigation of Bubble in the Turkish Stock Market -- Introduction -- 1 Literature Review -- 2 Econometric Model and Data -- 2.1 Empirical Results -- Conclusion -- Islamic Finance in the Framework of Financial Crisis and the Evaluation of Islamic Finance -- Introduction -- 1 Importance of Islamic Finance -- 2 Funding Methods of Islamic Finance -- 3 Status and Development of Islamic Finance in the Framework of Financial Crisis -- 4 Literature on Islamic Finance and Financial Crisis -- Conclusion and Recommendations -- References -- Analysis of Reserve Option Mechanism Applied for Providing Financial Stability -- Introduction -- 1 Literature Review -- 2 Aim, Hypothesis, and Methodology -- 2.1 Data Sets and Variables -- 3 Empirical Findings 3.1 Stationarity Analysis of Series -- 3.2 Impact Analysis of ROM with VAR Model -- Conclusions -- References -- An Econometric Analysis of the Current Account Deficit-External Debt Relationship: The Case of Turkey -- Introduction -- 1 Econometric Application -- 1.1 Data Set and Methodology -- 1.2 Empirical Findings -- Conclusion -- References -- Impact of Financial Development on Current Deficit in Turkey: ARDL Bound Test Analysis -- Introduction -- 1 Literature -- 2 Data and Model -- 3 Methodology and Empirical Findings -- 3.1 Unit Root Analysis -- 3.2 ARDL Cointegration Test -- 3.3 ARDL Model Estimation -- 3.4 Results of Error Correction Model of ARDL and Long-Run Coefficients -- Conclusions -- References -- Effect of Financing Resources on Profit, Investment, and Firm Value: Comparison of BIST and NYSE -- Introduction -- 1 Literature -- 2 Data, Method, and Application -- 2.1 Data Set -- 2.2 Econometric Method -- 2.3 Application of the Model -- 2.4 Analysis of the Model -- Conclusion -- References -- Investigation of Weak Form Market Efficiency of EU Country Stock Markets in the Crisis Period -- Introduction -- 1 Literature Review -- 2 Data and Methodology -- 2.1 Data -- 2.2 Methodology -- 3 Results -- Conclusion -- References -- Towards an Activist Monetary Policy: Challenges for Central Banking in the Post-Crisis Era -- Introduction -- 1 From Business Cycle to Financial Cycle -- 2 Minimalist versus Activist Monetary Policy -- References -- Section 3 Banking and Risk Management -- Assessing Credit Cycle Dynamics in the Turkish Banking Sector -- Introduction -- 1 Literature Review -- 2 De-trending Methodology -- 3 Data -- 4 Empirical Results -- Conclusion -- References -- The Effect of Basel Regulations on Banking Efficiency: Evidence from Turkey -- Introduction -- 1 Literature Review -- 2 Data and Variables -- 3 Model Specification 4 Determinants of Inefficiency -- 5 Empirical Findings -- 5.1 Cost Frontier Estimates -- 5.2 Cost Frontier Estimates -- 5.3 Robustness Tests: Quantile Regression Analysis -- Conclusion and Policy Implications -- References -- Long-Term Analysis of Riskiness in the Turkish Banking Sector -- Introduction -- 1 Literature Review -- 2 Methodology -- 3 Data and Empirical Results -- 3.1 General Results for the Turkish Banking Sector -- 3.2 Results for Individual Banks -- Conclusions and Suggestions -- References -- The Determinants of Bank's Stock Volatility 1 -- Introduction -- 1 Literature Review -- 2 Method and Analysis -- 3 Results -- Conclusion -- References -- Determinants of Non-performing Loans: Evidence from the Turkish Banking Sector -- Introduction -- 1 Literature Review -- 2 Empirical Analysis -- 2.1 Data -- 2.2 Methodology -- 2.3 Estimation Results -- Conclusion -- References -- List of Figures and Graphs -- List of Tables This book covers deep researches from different perspectives and disciplines in the historical and future perspectives of money and financial markets and corporations by successful and expert researchers in their fields Money-History Währungssystem (DE-588)4121891-7 gnd rswk-swf Kreditmarkt (DE-588)4073788-3 gnd rswk-swf Finanzkrise (DE-588)7635855-0 gnd rswk-swf Electronic books (DE-588)4143413-4 Aufsatzsammlung gnd-content Währungssystem (DE-588)4121891-7 s Kreditmarkt (DE-588)4073788-3 s Finanzkrise (DE-588)7635855-0 s DE-604 Darıcı, Burak 1976- (DE-588)118369847X edt Başarır, Çağatay 1980- (DE-588)1211349462 edt Erscheint auch als Druck-Ausgabe 978-3-631-81793-3 |
spellingShingle | Evoluation of money, banking and financial crisis history, theory and policy Cover -- Copyright information -- Preface and Acknowledgments -- Contents -- Section 1 Money, Exchange Rate, and Finance -- Section 2 Financial Systems, Stock Markets, and Financial Crisis -- Exchange Rate Uncertainty and Dollarization in Turkey -- 1 Data and Methodology -- 1.1. Analysis -- References -- Banking, Currency and Fiscal Crisis -- 1 Banking Crises -- 2 Currency Crises -- 2.1 Theories -- 2.2 Noneconomic Factors Affecting Currency Crises -- 2.3 The Choice of a Currency Regime -- 2.4 Monetary Policy Response to Currency Crises -- 3. Fiscal Crises -- The Asian Crisis and Eurozone Crisis -- Conclusion -- References -- Financial Systems Importance, Differences, and Convergence -- Introduction -- 1 Economic Functions Performed by the Global Financial System -- 1.1. Reducing Information Asymmetry and Transaction Costs -- 1.2. Trading, Diversification, and Management of Risk -- 2. Financial Systems, Development, and Growth -- 3. Differences Between National Financial Systems -- 4. Financial Stability -- Conclusion -- References -- Financial Speculation and Bubble: An Empirical Investigation of Bubble in the Turkish Stock Market -- Introduction -- 1 Literature Review -- 2 Econometric Model and Data -- 2.1 Empirical Results -- Conclusion -- Islamic Finance in the Framework of Financial Crisis and the Evaluation of Islamic Finance -- Introduction -- 1 Importance of Islamic Finance -- 2 Funding Methods of Islamic Finance -- 3 Status and Development of Islamic Finance in the Framework of Financial Crisis -- 4 Literature on Islamic Finance and Financial Crisis -- Conclusion and Recommendations -- References -- Analysis of Reserve Option Mechanism Applied for Providing Financial Stability -- Introduction -- 1 Literature Review -- 2 Aim, Hypothesis, and Methodology -- 2.1 Data Sets and Variables -- 3 Empirical Findings 3.1 Stationarity Analysis of Series -- 3.2 Impact Analysis of ROM with VAR Model -- Conclusions -- References -- An Econometric Analysis of the Current Account Deficit-External Debt Relationship: The Case of Turkey -- Introduction -- 1 Econometric Application -- 1.1 Data Set and Methodology -- 1.2 Empirical Findings -- Conclusion -- References -- Impact of Financial Development on Current Deficit in Turkey: ARDL Bound Test Analysis -- Introduction -- 1 Literature -- 2 Data and Model -- 3 Methodology and Empirical Findings -- 3.1 Unit Root Analysis -- 3.2 ARDL Cointegration Test -- 3.3 ARDL Model Estimation -- 3.4 Results of Error Correction Model of ARDL and Long-Run Coefficients -- Conclusions -- References -- Effect of Financing Resources on Profit, Investment, and Firm Value: Comparison of BIST and NYSE -- Introduction -- 1 Literature -- 2 Data, Method, and Application -- 2.1 Data Set -- 2.2 Econometric Method -- 2.3 Application of the Model -- 2.4 Analysis of the Model -- Conclusion -- References -- Investigation of Weak Form Market Efficiency of EU Country Stock Markets in the Crisis Period -- Introduction -- 1 Literature Review -- 2 Data and Methodology -- 2.1 Data -- 2.2 Methodology -- 3 Results -- Conclusion -- References -- Towards an Activist Monetary Policy: Challenges for Central Banking in the Post-Crisis Era -- Introduction -- 1 From Business Cycle to Financial Cycle -- 2 Minimalist versus Activist Monetary Policy -- References -- Section 3 Banking and Risk Management -- Assessing Credit Cycle Dynamics in the Turkish Banking Sector -- Introduction -- 1 Literature Review -- 2 De-trending Methodology -- 3 Data -- 4 Empirical Results -- Conclusion -- References -- The Effect of Basel Regulations on Banking Efficiency: Evidence from Turkey -- Introduction -- 1 Literature Review -- 2 Data and Variables -- 3 Model Specification 4 Determinants of Inefficiency -- 5 Empirical Findings -- 5.1 Cost Frontier Estimates -- 5.2 Cost Frontier Estimates -- 5.3 Robustness Tests: Quantile Regression Analysis -- Conclusion and Policy Implications -- References -- Long-Term Analysis of Riskiness in the Turkish Banking Sector -- Introduction -- 1 Literature Review -- 2 Methodology -- 3 Data and Empirical Results -- 3.1 General Results for the Turkish Banking Sector -- 3.2 Results for Individual Banks -- Conclusions and Suggestions -- References -- The Determinants of Bank's Stock Volatility 1 -- Introduction -- 1 Literature Review -- 2 Method and Analysis -- 3 Results -- Conclusion -- References -- Determinants of Non-performing Loans: Evidence from the Turkish Banking Sector -- Introduction -- 1 Literature Review -- 2 Empirical Analysis -- 2.1 Data -- 2.2 Methodology -- 2.3 Estimation Results -- Conclusion -- References -- List of Figures and Graphs -- List of Tables Money-History Währungssystem (DE-588)4121891-7 gnd Kreditmarkt (DE-588)4073788-3 gnd Finanzkrise (DE-588)7635855-0 gnd |
subject_GND | (DE-588)4121891-7 (DE-588)4073788-3 (DE-588)7635855-0 (DE-588)4143413-4 |
title | Evoluation of money, banking and financial crisis history, theory and policy |
title_alt | Evolution of money, banking and financial crisis Evaluation of money, banking and financial crisis |
title_auth | Evoluation of money, banking and financial crisis history, theory and policy |
title_exact_search | Evoluation of money, banking and financial crisis history, theory and policy |
title_exact_search_txtP | Evoluation of money, banking and financial crisis history, theory and policy |
title_full | Evoluation of money, banking and financial crisis history, theory and policy Burak Darici, Çagatay Başarir (eds.) |
title_fullStr | Evoluation of money, banking and financial crisis history, theory and policy Burak Darici, Çagatay Başarir (eds.) |
title_full_unstemmed | Evoluation of money, banking and financial crisis history, theory and policy Burak Darici, Çagatay Başarir (eds.) |
title_short | Evoluation of money, banking and financial crisis |
title_sort | evoluation of money banking and financial crisis history theory and policy |
title_sub | history, theory and policy |
topic | Money-History Währungssystem (DE-588)4121891-7 gnd Kreditmarkt (DE-588)4073788-3 gnd Finanzkrise (DE-588)7635855-0 gnd |
topic_facet | Money-History Währungssystem Kreditmarkt Finanzkrise Aufsatzsammlung |
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