Banks, debt maturity and financial crises
- 30 June 2000
- journal article
- Published by Elsevier in Journal of International Economics
- Vol. 51 (1) , 169-194
- https://doi.org/10.1016/s0022-1996(99)00041-0
Abstract
No abstract availableThis publication has 9 references indexed in Scilit:
- Bank runs: Liquidity costs and investment distortionsJournal of Monetary Economics, 1998
- The East Asian Financial Crisis: Diagnosis, Remedies, ProspectsBrookings Papers on Economic Activity, 1998
- On the effectiveness of capital controls: The experience of Colombia during the 1990sJournal of Development Economics, 1997
- A self-fulfilling model of Mexico's 1994–1995 debt crisisJournal of International Economics, 1996
- Currency Crises and CollapsesBrookings Papers on Economic Activity, 1995
- Financial crises and balance of payments crises: A simple model of the southern cone experienceJournal of Development Economics, 1987
- Bank Runs as an Equilibrium PhenomenonJournal of Political Economy, 1987
- Good-bye financial repression, hello financial crashJournal of Development Economics, 1985
- Bank Runs, Deposit Insurance, and LiquidityJournal of Political Economy, 1983