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Stock Market Risk in a Post Keynesian World

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  • Peter L. Bernstein

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Suggested Citation

  • Peter L. Bernstein, 1998. "Stock Market Risk in a Post Keynesian World," Journal of Post Keynesian Economics, Taylor & Francis Journals, vol. 21(1), pages 15-24, September.
  • Handle: RePEc:mes:postke:v:21:y:1998:i:1:p:15-24
    DOI: 10.1080/01603477.1998.11490176
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    Cited by:

    1. Jochen Hartwig, 1999. "Zum Wesen der Finanzmärkte und der Notwendigkeit von Kapitalverkehrsbeschränkungen," Wirtschaft und Gesellschaft - WuG, Kammer für Arbeiter und Angestellte für Wien, Abteilung Wirtschaftswissenschaft und Statistik, vol. 25(3), pages 265-283.
    2. Edwin Le Héron, 2004. "From the Canadian Experiment of the 1990's: A New Consensus on Monetary Policy," Post-Print halshs-00159897, HAL.
    3. David A. Zalewski, 2019. "Uncertainty and the Economy of Exclusion: Insights from Post‐Keynesian Institutionalism," American Journal of Economics and Sociology, Wiley Blackwell, vol. 78(4), pages 955-972, September.
    4. K.V. Bhanu Murthy & Sonia Goel, 2011. "Financial Liberalisation," Review of Market Integration, India Development Foundation, vol. 3(2), pages 181-223, August.
    5. Davidson, Paul, 2000. "Is a Plumber or a New Financial Architect Needed to End Global International Liquidity Problems?," World Development, Elsevier, vol. 28(6), pages 1117-1131, June.
    6. Korkut Erturk, "undated". "A Note on the Tobin Tax," Working Paper Series, Department of Economics, University of Utah 2003_05, University of Utah, Department of Economics.

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