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The Economics Of Financial Markets And The 1987 Crash

Author

Listed:
  • Jan Toporowski

Abstract

The Economics of Financial Markets and the 1987 Crash is the first thorough and systematic account of the antecedents and economic consequences of the stock market crash of 1987 in the world’s major financial centres.

Suggested Citation

  • Jan Toporowski, 1993. "The Economics Of Financial Markets And The 1987 Crash," Books, Edward Elgar Publishing, number 433.
  • Handle: RePEc:elg:eebook:433
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    File URL: http://www.e-elgar.com/shop/isbn/9781852788971
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    Citations

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    Cited by:

    1. Dögüs, Ilhan, 2021. "Financialisation and market concentration in the USA: A monetary circuit theory," ZÖSS-Discussion Papers 87, University of Hamburg, Centre for Economic and Sociological Studies (CESS/ZÖSS).
    2. Alireza Dehesh & Cedric Pugh, 2000. "Property Cycles in a Global Economy," Urban Studies, Urban Studies Journal Limited, vol. 37(13), pages 2581-2602, December.
    3. Dögüs, Ilhan, 2016. "A Minskyan criticism on the shareholder pressure approach of financialisation," ZÖSS-Discussion Papers 53, University of Hamburg, Centre for Economic and Sociological Studies (CESS/ZÖSS).
    4. Riccardo Bellofiore & Joseph Halevi, 2011. "A Minsky Moment? The Subprime Crisis and the ‘New’ Capitalism," Chapters, in: Claude Gnos & Louis-Philippe Rochon (ed.), Credit, Money and Macroeconomic Policy, chapter 1, Edward Elgar Publishing.
    5. Jan Toporowski, 2008. "The Economics And Culture Of Financialisation," Working Papers 158, Department of Economics, SOAS University of London, UK.
    6. Jan Toporowski, 2007. "Asset-based Reserve Requirements: Some Reservations," Review of Political Economy, Taylor & Francis Journals, vol. 19(4), pages 563-573.

    More about this item

    Keywords

    Economics and Finance;

    JEL classification:

    • G0 - Financial Economics - - General

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