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dc.contributor.authorGrytten, Ola Honningdal
dc.contributor.authorHunnes, Arngrim
dc.date.accessioned2015-01-07T12:46:31Z
dc.date.available2015-01-07T12:46:31Z
dc.date.issued2014
dc.identifier.citationGrytten, O. H., & Hunnes, A. (2014). An anatomy of financial crises in Norway, 1830-2010. Financial History Review, 21(1), 25-57. doi: 10.1017/S0968565013000279nb_NO
dc.identifier.issn0968-5650
dc.identifier.urihttp://hdl.handle.net/11250/273712
dc.descriptionAuthor's version of an article in the journal: Financial History Review. Also available from the publisher at: http://dx.doi.org/10.1017/S0968565013000279nb_NO
dc.description.abstractOn the basis of a novel dataset, the article investigates the anatomy of financial crises in Norway from 1830 to 2010. First, nine significant crises are identified. Second, the article examines spillover effects on the real economy. We find a clear but not symmetric relationship. Third, the article investigates key patterns in credit and money volumes. Major financial crises typically occurred after substantial money and credit expansion, causing financial instability.nb_NO
dc.language.isoengnb_NO
dc.publisherCambridge University Pressnb_NO
dc.subjectfinancial crisesnb_NO
dc.subjectreal economynb_NO
dc.subjectcredit and moneynb_NO
dc.subjectNorwaynb_NO
dc.titleAn anatomy of financial crises in Norway, 1830-2010nb_NO
dc.typeJournal articlenb_NO
dc.typePeer reviewednb_NO
dc.subject.nsiVDP::Humanities: 000::History: 070nb_NO
dc.subject.nsiVDP::Social science: 200::Economics: 210nb_NO
dc.source.pagenumber25-57nb_NO
dc.source.volume21nb_NO
dc.source.journalFinancial History Reviewnb_NO
dc.source.issue1nb_NO
dc.identifier.doi10.1017/S0968565013000279


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