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This vital new Handbook is an authoritative volume presenting key issues in finance that have been widely discussed in the financial markets but have been neglected in textbooks and the usual compilations of conventional academic wisdom.
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Financial Markets and Financial Fragility
These authoritative volumes present the most important published work on the theory and incidence of financial fragility in the financial markets, and policy for dealing with fragility. The volumes cover the recent central bank discussions about financial fragility and models simulating financial fragility.openaire +1 more source
The Kalecki–Steindl theory of financial fragility
Credit and Crisis from Marx to Minsky, 2020J. Toporowski
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Payoff complementarities and financial fragility: Evidence from mutual fund outflows
Journal of Financial Economics, 2010Itay Goldstein
exaly
Is Financial Fragility a Matter of Illiquidity? An Appraisal for Italian Households
Review of Income and Wealth, 2016Marianna Brunetti +2 more
exaly
Consumer Debt and Financial Fragility: Evidence from Italy
, 2020B. Cavalletti +3 more
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The Changing Face of Debt and Financial Fragility at Older Ages
, 2018A. Lusardi, O. Mitchell, Noemi Oggero
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A Population on the Brink: American Renters, Emergency Savings, and Financial Fragility
Poverty & Public Policy, 2016Stacia West, Gary Mottola
exaly

