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Financial Crises (Understanding the Postwar U.S. Experience)
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Product Details
Author:
M.H. Wolfson
Format:
Paperback
Pages:
284
Publisher:
Taylor & Francis (November 30, 1994)
Language:
English
ISBN-13:
9780873327503
ISBN-10:
0873327500
Weight:
14.5oz
Dimensions:
6" x 9"
File:
TAYLORFRANCIS-TayFran_260731044859570-20260731.xml
Folder:
TAYLORFRANCIS
List Price:
$82.99
Case Pack:
55
As low as:
$78.84
Publisher Identifier:
P-CRC
Discount Code:
H
Country of Origin:
United States
Pub Discount:
30
Imprint:
Routledge
Overview
This book is a survey and critique of the major theories of financial crises. The first edition built a model of crisis from an analysis of postwar financial crises in the US through the mid-1980s. The second edition continues the story from 1985 and covers the stock market crash of 1987, the collapse of the Savings and Loan industry, the severe problems of US commercial banks, and the increasing risks posed by junk bonds. A new chapter analyses the causes of increasing financial instability in the 1980s. The book's extensive charts and tables are fully revised and updated to present the latest evidence. The first edition has gained wide interest as a supplemental text.








