Skip to main content

Financial stability: theory and applications

This is a preview of subscription content, access via your institution.

References

  • Akram Q.F., Bårdsen G., Lindquist K.-G. (2007) Pursuing financial stability under an inflation-targeting regime. Ann Finance 3(1): 131–154

    Article  Google Scholar 

  • Aspachs O., Goodhart C.A.E., Tsomocos D.P., Zicchino L. (2007) Towards a measure of financial fragility. Ann Finance 3(1): 37–74

    Article  Google Scholar 

  • Calomiris C.W. (2007) Devaluation with contract redenomination in Argentina. Ann Finance 3(1): 155–192

    Article  Google Scholar 

  • Dubey P., Geanakoplos J., Shubik M. (2005) Default and punishment in general equilibrium. Econometrica 73(1): 1–37

    Article  Google Scholar 

  • Goodhart C.A.E., Sunirand P., Tsomocos D.P. (2006) A model to analyse financial fragility. Econ Theory 27, 107–142

    Article  Google Scholar 

  • Kupiec P.H. (2007) Financial stability and Basel II. Ann Finance 3(1): 107–130

    Article  Google Scholar 

  • Saade A., Osorio D., Estrada D. (2007) An equilibrium approach to financial stability analysis: the Colombian case. Ann Finance 3(1): 75–106

    Article  Google Scholar 

  • Shubik M., Wilson C. (1977) The optimal bankruptcy rule in a trading economy using fiat money. J Econo 37, 337–354

    Google Scholar 

  • Suarez J., Sussman O. (2007) Financial distress, bankruptcy law and the business cycle. Ann Finance 3(1): 5–36

    Article  Google Scholar 

  • Woodford M. (2003) Interest and Prices: Foundations of a Theory of Monetary Policy. Princeton, Princeton University Press

    Google Scholar 

Download references

Author information

Authors and Affiliations

Authors

Corresponding author

Correspondence to Charles A. E. Goodhart.

Rights and permissions

Reprints and Permissions

About this article

Cite this article

Goodhart, C.A.E., Tsomocos, D.P. Financial stability: theory and applications. Annals of Finance 3, 1–4 (2007). https://doi.org/10.1007/s10436-006-0066-7

Download citation

  • Published:

  • Issue Date:

  • DOI: https://doi.org/10.1007/s10436-006-0066-7

Keywords

  • Credit Risk
  • Financial Stability
  • Capital Requirement
  • Financial Distress
  • DSGE Model