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Book Details
Table of Contents
Policy credibility and unemployment in the UK / by David Backus and John Driffill
Debt neutrality in disequilibrium / by Neil Rankin
Fiscal policy and the real exchange rate / by Francesco Giavazzi and Jeffrey Sheen
Optimal policy under model uncertainity / by Robin Becker ... [et al.]
The financial sector of the London Business School model / by Giles Keating
Portfolio selection and interest rate setting by the Dutch Banking System / by Peter D. van Loo
A Markowitz approach to regulation / by Georges Gallais-Hamonno
The demand for long-term government securities in the UK by the non-bank private sector / by Glenn Hoggarth and Paul Ormerod
Insurance regulation in the United Kingdom and the Federal Republic of Germany / by Elizabeth Hammond and John Kay
Asymmetric information and credit rationing / by John Cable and Paul Turner.
Edition Notes
Bibliography: p. 221-228.
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- Created April 1, 2008
- 10 revisions
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December 10, 2023 | Edited by MARC Bot | import existing book |
December 11, 2022 | Edited by MARC Bot | import existing book |
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April 1, 2008 | Created by an anonymous user | Imported from Scriblio MARC record |