Journal of Economic Perspectives
ISSN 0895-3309 (Print) | ISSN 1944-7965 (Online)
Global Financial Instability: Framework, Events, Issues
Journal of Economic Perspectives
vol. 13,
no. 4, Fall 1999
(pp. 3–20)
(Complimentary)
Abstract
Two of the key questions facing policymakers today are how to reduce the risk of global financial instability and how to cope with it when it occurs. This paper starts by defining financial instability and then showing how it harms economic activity. It then uses this framework to describe what happened during the recent financial crises in Mexico and East Asia. The paper ends by raising several key policy issues; not coincidentally, these issues are addressed in the remaining papers in the symposium.Citation
Mishkin, Frederic, S. 1999. "Global Financial Instability: Framework, Events, Issues." Journal of Economic Perspectives, 13 (4): 3–20. DOI: 10.1257/jep.13.4.3JEL Classification
- O16 Economic Development: Financial Markets; Saving and Capital Investment; Corporate Finance and Governance
- F30 International Finance: General
- G15 International Financial Markets
There are no comments for this article.
Login to Comment