第9讲 金融危机与金融监管

发布者:田慧敏发布时间:2024-11-18浏览次数:2144


一、基本内容

米什金(2015):CH15 金融危机和宏观经济


二、参考阅读

(1) Minsky, Hyman P, 石, 宝峰, 张, 慧卉. 稳定不稳定的经济 : 一种金融不稳定视角[M]. 清华大学出版社, 2010.


(2) (美)傑瑞‧馬克漢姆,美国金融史(第六卷),金融危机与大衰退(2006—2009),中国金融出版社,2018-5-1


(3) 刘鹤主编,两次全球大危机的比较研究,中国经济出版社, 2013


(4) Agnes Benassy-Quere,Benolt Cceure,Pierre Jacquet,Jean Pisani-Ferry,经济政策:理论与实践,中国人民大学出版社 2015-11-1  CH8 经济政策和2007-2009年的那场危机


(5)Too Big to Fail: The Inside Story of How Wall Street and Washington Fought to Save the Financial System--and Themselves,Author: Andrew Ross Sorkin,ISBN: 9780670021253,中国人民大学出版社版的译本(译者:巴曙松、陈剑)中译本有一些错误。


(6)After the Music Stopped: The Financial Crisis, the Response, and the Work Ahead,Author: Alan S. Blinder ,ISBN: 9781594205309,中国人民大学出版社版的译本


(7) On the Brink: Inside the Race to Stop the Collapse of the Global Financial System,Author: Jr. Henry M. Paulson,ISBN: 9780446561938,峭壁边缘,中信出版社


(8)Stress Test: Reflections on Financial Crises,Author: Timothy F. Geithner,ISBN: 9780804138598,压力测试,出版社:中信出版社


(9)The Aftermath of Financial Crises,Carmen M. Reinhart, Kenneth S. Rogoff,NBER Working Paper No. 14656 http://www.nber.org/papers/w14656


(10)Financial Crises(mit opencourse)https://ocw.mit.edu/courses/economics/14-09-financial-crises-january-iap-2016/index.htm


(11)  Eichengreen B. The origins and nature of the Great Slump revisited[J]. Economic History Review, 1992, 45(2):213–239.


(12)  Romer C D. The Nation in Depression[J]. Journal of Economic Perspectives, 1993, 7(2):19-39.


(13)  Margo R A. Employment and Unemployment in the 1930s.[J]. Nber Working Papers, 1993, 7(2):41-59.


(14)GARY RICHARDSON,https://www.socsci.uci.edu/~garyr/welcome.html


(15)Niall Ferguson, The Ascent of Money: A Financial History of the World, Penguin, 2009.


(16)Charles P. Kindleberger and Robert Aliber, Manias, Panics, and Crashes: A History of Financial Crises, Wiley, Fifth Edition, 2005.


(17)Current Economic Issues:  Financial Crises and Depressions


http://users.econ.umn.edu/~tkehoe/classes/4033-09.html


The Current Financial Crisis: What Should We Learn      from the Great Depressions of the Twentieth Century? with Gonzalo Fernández de Córdoba.


http://users.econ.umn.edu/~tkehoe/teachingNew.html


(18)Great Depressions of the Twentieth Century网站上有数据和程序代码


https://www.greatdepressionsbook.com/datasets


(19)弗莱肯施泰因,希恩著,单波译,2008,《格林斯潘的泡沫—美国经济灾难的真相》,中国人民大学出版社。


(20)Shin, Hyun Song, 2009, Reflections on Northern Rock: The bank run that heralded the global financial crisis, The Journal of Economic Perspectives 101-120.


(21)  International Monetary Fund, 2009, Navigating the financial challenges ahead, Global Financial Stability Report (just read Chapter III)


(22)  Reinhart, Vincent. 2011. A Year of Living Dangerously: The Management of the Financial Crisis in 2008, Journal of Economic Perspectives, 25(1): 71-90.


(23)Geanakoplos, John, 2014, Leverage, Default, and Forgiveness, Journal of Macroeconomics 39, 313-333.


(24)  Shambaugh, Jay C., 2012, The Euro's Three Crisis [ https://www.brookings.edu/bpea-articles/the-euros-three-crises/] (with comments and discussion by Ricardo Reis and Helene Rey), Brookings Papers on Economic Activity 157-231.


(25)  Lane, Philip R. 2012, The European Sovereign Debt Crisis, Journal of Economic Perspectives, 26(3): 49-68.


(26)  Bernanke, Ben, and Harold James, 1991, The gold standard, deflation, and financial crisis in the great depression: An international comparison, in Financial markets and financial crises (University of Chicago Press).


(27)  Krishnamurthy, A., 2010, How debt markets have malfunctioned in the crisis, Journal of Economic Perspectives 24, 3-28.


(28)  McCabe, P., 2010, The cross section of money market fund risks and financial crises, working paper, Finance and Economics Discussion Series, Divisions of Research & Statistics and Monetary Affairs, Federal Reserve Board.


(29)  Gorton, Gary, and Andrew Metrick, 2012, Securitized banking and the run on repo, Journal of Financial Economics 104, 425-451