Skip to main content Accessibility help
×
Hostname: page-component-7bb8b95d7b-pwrkn Total loading time: 0 Render date: 2024-09-08T13:19:06.227Z Has data issue: false hasContentIssue false

Bibliography

Published online by Cambridge University Press:  05 June 2012

Johan A. Lybeck
Affiliation:
Finanskonsult AB, Stockholm
Get access

Summary

Image of the first page of this content. For PDF version, please use the ‘Save PDF’ preceeding this image.'
Type
Chapter
Information
Publisher: Cambridge University Press
Print publication year: 2011

Access options

Get access to the full version of this content by using one of the access options below. (Log in options will check for institutional or personal access. Content may require purchase if you do not have access.)

References

Abadie, LoïcLa crise financière de 2008/2010: mode d’emploi pour la décrypter et l’exploiterParisÉditions Valys 2008Google Scholar
Acharya, Viral V.Richardson, MatthewRestoring Financial Stability: How to Repair a Failed SystemHoboken, NJJohn Wiley and Sons 2009CrossRef
Aguilar, J. P.Bouchaud, J. P.Cont, R.Laloux, L.Potters, M.Are financial crashes predictableEurophysics Letters 45 1999 1Google Scholar
Akerlof, George A.The market for “lemons”: quality uncertainty and the market mechanismQuarterly Journal of Economics 84 1970 488CrossRefGoogle Scholar
Akerlof, George A.Shiller, Robert J.Animal Spirits: How Human Psychology Drives the Economy and Why it Matters for Global CapitalismPrinceton University Press 2009Google Scholar
Allen, FranklinGale, DouglasUnderstanding Financial CrisesOxford University Press 2009Google Scholar
Allen, JoAnne 2010
Andrews, Edmond L.Greenspan concedes error on regulationNew York Times 24 2008Google Scholar
Anson, Mark J. P.Fabozzi, Frank J.Choudhry, MooradChen, Ren-RawCredit Derivatives: Instruments, Application and PricingHoboken, NJJohn Wiley and Sons 2004Google Scholar
Ashcraft, Adam B.Schuermann, Til 2008
Baird, Jane 2010 www.reuters.com/article/idUSTRE63F13720100416
Bairoch, PaulEconomics and World History: Myths and ParadoxesUniversity of Chicago Press 1993Google Scholar
Baker, DeanPlunder and Blunder: The Rise and Fall of the Bubble EconomySausolito, CAPoliPointPress 2009Google Scholar
Baker, DeanMcArthus, Travis 2009
Ball, PhilipCritical Mass: How One Thing Leads to AnotherLondonRandom House, Arrow Books 2005Google Scholar
Bank of England
Bank for International Settlements
Bank for International Settlements 2006
Bank for International Settlements 2009
Bank for International Settlements 2009
Bank for International Settlements 2009
Bank for International Settlements 2009
Bank for International Settlements 2009
Bank for International Settlements 2010
Bank for International Settlements 2010
Bank for International Settlements 2010
Bank for International Settlements 2010
Bank for International Settlements 2010
2008
Bankkriskommittén, BankkrisenStockholmFinansdepartementet 1994Google Scholar
Banks, E.Volatility and Credit Risk in the Capital MarketsChicagoProbus Publishing Company 1993Google Scholar
Barro, Robert J.Fama, Eugene F.Fischel, Daniel R.Meltzer, Allan H.Roll, RichardTelser, Lester G.Black Monday and the Future of Financial MarketsHomewood, ILDow Jones-Irwin for the Mid America Institute for Public Policy Research 1989Google Scholar
Barth, James R.Trimbath, S.Yago, GlennThe Savings and Loan Crisis: Lessons from a Regulatory FailureDordrechtKluwer Academic Publishers 2004CrossRef
Batra, RaviGreenspan’s Fraud: How Two Decades of his Policies have Undermined the Global EconomyNew YorkPalgrave MacMillan 2005Google Scholar
Becker, BoMilbourn, Todd 2008
Benink, HaraldKaufman, GeorgeTurmoil reveals the inadequacy of Basel IIFinancial Times 27 2008Google Scholar
Benston, G. J.Carhill, M.Olasov, B.The failure and survival of thriftsHubbard, R. G.Financial Markets and Financial CrisesUniversity of Chicago Press 1991 305Google Scholar
Benston, George J.Eisenbeis, Robert A.Horvitz, Paul M.Kane, Edward J.Kaufman, George G.Perspectives of Safe and Sound Banking: Past, Present and FutureCambridge, MAMIT Press 1986Google Scholar
Bernanke, BenEssays on the Great DepressionPrinceton University Press 2000
Bernanke, BenGertler, Mark 2000
Bernanke, BenLown, CarlaThe credit crunchBrookings Papers on Economic Activity 2 1991 205CrossRefGoogle Scholar
Bernanke, Ben S.Laubach, ThomasMishkin, Frederic S.Posen, Adam S.Inflation TargetingPrinceton University Press 1999Google Scholar
Blundell-Wignall, AdrianThe subprime crisis: size, deleveraging and some policy optionsOECD Financial Market Trends 94 2008 1Google Scholar
Blundell-Wignall, AdrianAtkinson, PaulLee, Se HoonThe current financial crisis: causes and policy issuesOECD Financial Market Trends 2 2008 1Google Scholar
Boskin, Michael J.Dulberger, Ellen R.Gordon, Robert J.Griliches, ZviJorgenson, Dale 1996
Braithwaite, TomRegulators pressured to curb Wall Street reformsFinancial Times 4 2010Google Scholar
Brownell, CharlesSubprime Meltdown: From US Liquidity Crisis to Global RecessionNew YorkIngram 2008Google Scholar
Brumbaugh, R. D.Thrifts Under SiegeNew YorkBallinger 1988Google Scholar
Brumbaugh, R. D.Carron, A. S.Litan, E.Cleaning up the depository institutions’ messBrookings Papers on Economic Activity 1 1989 243CrossRefGoogle Scholar
Bruner, Robert F.Carr, Sean D.The Panic of 1907: Lessons Learned from the Market’s Perfect StormHoboken, NJWiley 2007Google Scholar
Brunnermeier, MarkusCrockett, AndrewGoodhart, Charles A.Persaud, AvinashShin, Hyun Song 2009
Bryan, L. L.Breaking up the Bank: Rethinking an Industry Under SiegeNew YorkDow Jones Irwin 1988Google Scholar
Cadman, EmilyBernard, SteveKassel, JohannaJenkins, PatrickInteractive: EU stress test results by bankFinancial Times 23 2010Google Scholar
Case, Karl E.Shiller, RobertIs there a bubble in the housing marketBrookings Papers on Economic Activity 2 2003 299CrossRefGoogle Scholar
Chaplin, GeoffCredit Derivatives, Risk Management, Trading and InvestmentChichesterJohn Wiley and Sons 2005Google Scholar
Choudry, MooradTanna, KetulAn Introduction to Value-at-RiskChichesterJohn Wiley and Sons 2006Google Scholar
Claessens, StijnKlingebiel, DanielaLaeven, LucResolving systemic crises: policies and institutions, World Bank Policy Research Working Paper 3377 (August 2004)Honohan, Læven, Systemic Financial Crises169
Cohan, WilliamHouse of Cards: A Tale of Hubris and Wretched Excess on Wall StreetNew YorkDoubleday 2009Google Scholar
Committee of European Securities Regulators 2008
Cooper, GeorgeThe Origin of Financial Crises: Central Banks, Credit Bubbles and the Efficient Market FallacyPetersfieldHarriman House 2008Google Scholar
Cunningham, Noble E.The Life of Thomas JeffersonNew YorkBallantyne Books 1988Google Scholar
Curry, TimothyShibut, LynnThe cost of the savings and loan crisis: truth and consequencesFDIC Banking Review 13 2000 26Google Scholar
Delhaise, Philippe F.Asia in Crisis: The Implosion of the Banking and Finance SystemsNew YorkWiley 1998Google Scholar
Diamond, D.Dybvig, P.Bank runs, deposit insurance and liquidityJournal of Political Economy 3 1983 401CrossRefGoogle Scholar
Diamond, D. W.Banks and liquidity creation: a simple exposition of the Diamond-Dybvig modelFederal Reserve Bank of Richmond Economic Quarterly 2007 189Google Scholar
Dougherty, CarterStopping a financial crisis, the Swedish wayNew York Times 22 2008Google Scholar
Eichengreen, BarryGolden Fetters: The Gold Standard and the Great Depression, 1919–1939Oxford University Press 1992Google Scholar
Ellis, Luci 2008
Equal Credit Opportunity Act 1974
European Central Bank
European Commission 2009
European Commission 2009
European Economic Advisory Group, The financial crisis 2009
Federal Reserve Board
Martin, FeldsteinRefocusing the IMFForeign Affairs 77 1998 20www.jstor.org/stable/20048786Google Scholar
Feldstein, Martin 2007
Ferguson, NiallThe Ascent of Money: A Financial History of the WorldNew YorkAllen Lane 2008Google Scholar
Financial Accounting Standards Board 2007
Financial Services Authority 2005
Financial Services Authority 2007
Financial Services Authority 2009
Financial Services Authority 2009
Financial Services Authority 2009
Fleckenstein, WilliamGreenspan’s Bubbles: The Age of Ignorance at the Federal ReserveMaidenheadMcGraw Hill 2008Google Scholar
Foster, George BellamyMagdoff, FredThe Great Financial Crisis: Causes and ConsequencesNew YorkMonthly Review Press 2009Google Scholar
Friedman, Benjamin M.The risks of financial crisisFeldstein, MartinThe Risk of Economic CrisisUniversity of Chicago Press 1991 19Google Scholar
Friedman, MiltonFriedman, RoseFree to ChooseNew YorkHarcourt 1980Google Scholar
Friedman, MiltonSchwartz, Anna J.A Monetary History of the United States, 1867–1960Princeton University Press 1963Google Scholar
Galbraith, John KennethThe Great Crash, 1929New YorkHoughton Mifflin 1954Google Scholar
Garber, Peter M.Famous First Bubbles: The Fundamentals of Early ManiasCambridge, MAMIT Press 2000Google Scholar
Gerhardt, Maria 2009
Goodman, Laurie S.Li, ShuminLucas, Douglas J.Zimmerman, Thomas A.Subprime Mortgage Credit DerivativesHoboken, NJJohn Wiley and Sons 2008CrossRefGoogle Scholar
Gorton, Gary B.Slapped by the Invisible Hand: The Panic of 2007New YorkOxford University Press 2010Google Scholar
Greenspan, AlanThe Age of Turbulence: Adventures in a New WorldNew YorkPenguin 2007Google Scholar
Greenspan, AlanWe need a better cushion against riskFinancial Times 26 2009Google Scholar
Guerrera, FrancescoUS collects $10.3bn from Citi bail-outFinancial Times 2 2010Google Scholar
Haldane, Andrew G.Banking on the stateBIS Review 139 2009 1Google Scholar
Ul Haq, MahbubInge, KaulIsabelle, Grunberg Tobin Tax: Coping with Financial VolatilityOxford University Press 1996
Honohan, PatrickLuc, LævenSystemic Financial Crises: Containment and ResolutionCambridge University Press 2005CrossRef
Hull, J.Predescu, MirelaWhite, AlanThe relationship between credit default swap spreads, bond yields and credit rating announcementsJournal of Banking and Finance 28 2004 2789CrossRefGoogle Scholar
Hunter, William C.Kaufman, George G.Krueger, Thomas H.The Asian Financial Crisis: Origins, Implications and SolutionsBerlinSpringer Verlag 1999CrossRefGoogle Scholar
International Monetary Fund
International Monetary Fund
International Monetary Fund 2010
Ishmael, Stacy-MarieEuropean banks to face capital demandsFinancial Times 7 2009Google Scholar
Ishmael, Stacy-MarieBanks win battle to tone down Basel IIIFinancial Times 24 2010Google Scholar
Jenkins, PatrickStress test results “underwhelming,”Financial Times 26 2010
Jenkins, PatrickJennifer, HughesDanish banks urge changes to Basel IIIFinancial Times 7 2010Google Scholar
Jenkins, PatrickMasters, BrookeFinancial regulation: the money moves onFinancial Times 14 2010Google Scholar
Jennergren, P.Bertil, NäslundEfter bankkrisen, vad blev notan för skattebetalarnaEkonomisk debatt 1 1998 69Google Scholar
Johnson, Simon 2010
Johnson, SimonKwak, James13 Bankers: The Wall Street Take-over and the Next Financial MeltdownNew YorkPantheon Books 2010Google Scholar
Jonung, LarsKiander, JaakoPentti, VartiaThe Great Financial Crisis in Finland and Sweden: The Nordic Experiment of Financial LiberalizationCheltenhamEdward Elgar Publishing Ltd 2009CrossRef
Jorion, P.Value at Risk: The New Benchmark for Controlling Market RiskChicagoRichard D. Irwin 1997Google Scholar
Kapner, SuzanneLawmakers wary of Fannie and Freddie reformFinancial Times 21 2010Google Scholar
Kapner, SuzanneUS housing: Sunset BoulevardFinancial Times 17 2010Google Scholar
Kaufman, George G.Research in Financial Services: Banking, Financial Markets and Systemic RiskGreenwich, CTJAI Press 1995
Kaufman, George G.Scott, Kenneth E.What is systemic risk and do bank regulators retard or contribute to itThe Independent Review 7 2003 371Google Scholar
Kaufman, HenryInterest Rates: The Markets and the New Financial WorldLondonI. B. Tauris & Co 1986Google Scholar
Kaufman, HenryThe Road to Financial Reformation: Warnings, Consequences, ReformsNew YorkJohn Wiley & Sons 2009Google Scholar
Kashyap, Anil K.Stein, Jeremy C.Cyclical implications of the Basel II capital standardsEconomic Perspectives 28 2004 18Google Scholar
Kay, JohnNarrow Banking: The Reform of Banking RegulationLondonCentre for the Study of Financial Innovation 2009Google Scholar
Kay, JohnWe must press on with breaking up banksFinancial Times 15 2010Google Scholar
Ketcham, RalphJames Madison: A BiographyCharlottevilleUniversity Press of Virginia 1971Google Scholar
Keynes, John M.The General Theory of Employment, Interest and MoneyNew YorkHarcourt, Brace and World 1936Google Scholar
Kharas, Horni J.Pinto, BrianUlatov, SergeiAn analysis of Russia’s 1998 meltdown: fundamentals and market signalsBrookings Papers on Economic Activity 1 2001 1CrossRefGoogle Scholar
Kindleberger, Charles P.The World in Depression, 1929–1939BerkeleyUniversity of California Press 1986Google Scholar
Kindleberger, Charles P.Aliber, Robert Z.Manias, Panics and Crashes: A History of Financial CrisesNew YorkMacMillan 1978CrossRefGoogle Scholar
Koskenkylä, HeikkiVesala, JukkaFinnish deposit banks 1980–93: years of rapid growth and crisisBank of Finland Discussion Papers 16 1994Google Scholar
KPMG, Funds and fund management 2010 www.kpmg.com/Global/en/IssuesAndInsights/ArticlesPublications/Documents/Hedge-funds-2010/United-Kingdom-HF-Regulation-2010.pdf
Krugman, PaulThe Return of Depression Economics and the Crisis of 2008New YorkW. W. Norton 2009Google Scholar
Krugman, PaulToo big to fail failNew York Times 11 2010Google Scholar
Kubarych, RogerStress Testing the System: Simulating the Global Consequences of the Next Financial CrisisNew YorkCouncil on Foreign Relations Press 2001Google Scholar
Laeven, LucValencia, Fabian 2008
Langohr, HerwigLangohr, PatriciaThe Rating Agencies and their Credit Ratings: How They Work and Why They Are RelevantNew YorkWiley 2008Google Scholar
Larsen, Peter ThalBasel outlines stricter limitsFinancial Times 21 2008Google Scholar
Levich, Richard M.Majnoni, GiovanniReinhart, Carmen M.Ratings, Rating Agencies and the Global Financial SystemDordrechtKluwer Academic Publishers 2002CrossRefGoogle Scholar
Louis, Meera 2009
Lux, T.Marchesi, M.Scaling and criticality in a stochastic multiagent model of a financial marketNature 397 1999 498CrossRefGoogle Scholar
Lybeck, Johan A. 1971
Lybeck, Johan A.Finansiella kriser förr and nuStockholmSNS Förlag 1992Google Scholar
Lybeck, Johan A.Facit av finanskrisenStockholmSNS Förlag 1994Google Scholar
Lybeck, Johan A.FinanskrisenStockholmSNS Förlag 2009Google Scholar
Lybeck, Johan A.It is time to consider breaking up the banking behemothsFinancial Times 19 2009Google Scholar
Lybeck, Johan A.No one addresses real cause of crisisFinancial Times 29 2010Google Scholar
MacAskill, AndrewAaron, Kirchfeld 2010
Mackay, CharlesExtraordinary Popular Delusions and the Madness of CrowdsNew YorkHarmony Books 1841Google Scholar
McKenzie, GeorgeThomas, StephenFinancial Instability and the International Debt ProblemLondonMacmillan 1992CrossRefGoogle Scholar
Masters, BrookePatrick, JenkinsFSA poised to set tougher capital rulesFinancial Times 21 2010Google Scholar
Masters, BrookeMegan, MurphyEuropean banks to face capital demandsFinancial Times 6 2009Google Scholar
Milne, AlistairThe Fall of the House of Credit: What Went Wrong in Banking and What Can Be Done to Repair the DamageCambridge University Press 2009CrossRefGoogle Scholar
Minsky, Hyman P.Can “It” Happen Again? Essays on Instability and FinanceNew YorkM. E. Sharpe 1962Google Scholar
Minsky, Hyman P.Longer waves in financial relations: financial factors in more severe depressionsAmerican Economic Review 54 1964 324Google Scholar
Minsky, Hyman P.Stabilizing an Unstable EconomyNew Haven, CTYale University Press 1986Google Scholar
Mishkin, Frederic S.Comment on systemic riskKaufman, George G.Research in Financial Services: Banking, Financial Markets, and Systemic RiskGreenwich, CTJAI Press 1995 31Google Scholar
Morgenson, GretchenToo big to fail, or too big to handleNew York Times 20 2009Google Scholar
Morris, Charles R.The Trillion Dollar Meltdown: Easy Money, High Rollers, and the Great Credit CrashNew YorkPublic Affairs 2008Google Scholar
Münchau, WolfgangKernschmelze im FinanzsystemMunichCarl Hanser Verlag 2008CrossRefGoogle Scholar
Nakaso, Hiroshi 2001
National Audit Office 2009
Norges Offentliga Utredningar 1992
Organisation for Economic Cooperation and Development
Organisation for Economic Cooperation and DevelopmentBanks Under StressParisOECD 1992Google Scholar
Organisation for Economic Cooperation and DevelopmentEconomic Survey of the Russian FederationParisOECD 1998Google Scholar
Pallage, Stéphane J.An econometric study of the Belgian banking sector in terms of scale and scope economies, Université Libre de BruxellesCahiers Economiques de Bruxelles 130 1991 125Google Scholar
Paulson, Henry M.On the Brink: Inside the Race to Stop the Collapse of the Global Financial SystemNew YorkBusiness Plus 2010Google Scholar
Pinto, BrianGurvich, EvseyUlatov, SergeiLessons from the Russian crisis of 1998 and recoveryAizenmann, JoshuaPinto, BrianManaging Volatility and Crises: A Practitioner’s GuideCambridge University Press 2005 406CrossRefGoogle Scholar
Posen, Adam S.Mikitani, RyoichiJapan’s Financial Crisis and its Parallels to US ExperienceWashington DCInstitute for International Economics 2000
Pozen, RobertToo Big to Save: How to Fix the US Financial SystemHoboken, NJJohn Wiley & Sons 2010Google Scholar
Profumo, AlessandroEurope’s banks need a recovery fundFinancial Times 11 2010Google Scholar
Radelet, StevenSachs, Jeffrey, D.The East Asian crisis: diagnosis, remedies, prospectsBrookings Papers on Economic Activity 1 1998 1CrossRefGoogle Scholar
Read, ColinGlobal Financial Meltdown: How We Can Avoid the Next Economic CrisisBasingstokePalgrave Macmillan 2009CrossRefGoogle Scholar
Reinhart, Carmen M.Rogoff, Kenneth S. 2008
Reinhart, Carmen M.Rogoff, Kenneth S.This Time Is Different: Eight Centuries of Financial FollyPrinceton University Press 2009Google Scholar
Reinhart, Carmen M.Rogoff, Kenneth S.The aftermath of financial crisesAmerican Economic Review 99 2009 466CrossRefGoogle Scholar
Repullo, RafaelPolicies for banking crises: a theoretical frameworkHonohan, Læven, Systemic Financial Crises137
Rochet, Jean-CharlesWhy Are There So Many Banking Crises? The Politics and Policy of Bank RegulationPrinceton University Press 2008Google Scholar
Rogoff, Kenneth S.Reinhart, Carmen M. 2008
Roubini, Nouriel 2008
Roubini, NourielCrisis Economics: A Crash Course in the Future of FinanceNew York and LondonAllen Lane 2010Google Scholar
Roubini, NourielSetser, BradBail-outs or Bail-ins: Responding to Financial Crises in Emerging MarketsWashington DCInstitute for International Economics 2004Google Scholar
Sachs, JeffreyManaging the LDC debt crisisBrookings Papers on Economic Activity 2 1986 397CrossRefGoogle Scholar
Sachs, JeffreyMaking the Brady plan workForeign Affairs 68 1989 87www.jstor.org/stable/20044010CrossRefGoogle Scholar
Sakoui, AnoushaHopes rise over unwinding of Lehman’s assetsFinancial Times 11 2010Google Scholar
Sanderson, RachelGuerrera, FrancescoThomas, HelenDivide over accounting standards set to widenFinancial Times 27 2010Google Scholar
Santomero, Anthony M.Viotti, StaffanVredin, AndersChallenges for Central BankingBoston, MAKluwer Academic Publishers 2001CrossRefGoogle Scholar
Santow, LeonardDo They Walk on Water? Federal Reserve Chairmen and the FedNew YorkPraeger 2008Google Scholar
Shiller, Robert J.Irrational ExuberancePrinceton University Press 2000Google Scholar
Shiller, Robert J.The Subprime Solution: How Today’s Global Financial Crisis Happened and What to Do About ItPrinceton University Press 2008Google Scholar
Shiller, Robert J.A market to prop upFinancial Times 23 2010Google Scholar
Shiller, Robert J.Case, Karl E.Is there a bubble in the housing marketBrookings Papers on Economic Activity 2 2003 299Google Scholar
Simonian, HaigMurphy, MeganHow Swiss finish was factored inFinancial Times 4 2010Google Scholar
Sinclair, Timothy J.The New Masters of Capital: American Bond Rating Agencies and the Policy of CreditworthinessIthaca, NYCornell University Press 2005Google Scholar
Sommer, ReineDie Subprime-Krise. Wie einige faule US-Kredite das internationale Finanzsystem erschütternHannoverTelepolis 2008Google Scholar
Sorkin, Andrew RossToo Big to Fail: Inside the Battle to Save Wall StreetLondonAllen Lane 2009Google Scholar
Soros, GeorgeThe New Paradigm for Financial Markets: The Credit Crisis of 2008 and What it MeansNew YorkPublic Affairs 2008Google Scholar
Statutory instrument 2006
Stern, Gary H.Feldman, Ron J.Too Big to Fail: The Hazards of Bank BailoutsWashington DCBrookings Institution 2003Google Scholar
Sundararajan, V.Baliño, Tomès J. T.Banking Crises: Cases and IssuesWashington DCInternational Monetary Fund 1991Google Scholar
Swary, I.Topf, B.Global Financial Deregulation: Commercial Banking at the CrossroadsOxfordBasil Blackwell 1992Google Scholar
Tait, NikkiEU to step up compensation for fraud casesFinancial Times 11 2010Google Scholar
Tait, NikkiWilson, JamesMasters, BrookeBanks hit at pay-out proposalsFinancial Times 12 2010Google Scholar
Taleb, Nassim N.The Black Swan: The Impact of the Highly ImprobableNew YorkRandom House 2007Google Scholar
Taleb, Nassim N.Ten principles for a Black Swan proof worldFinancial Times 7 2009Google Scholar
Taylor, John B.Getting Off Track: How Government Actions and Interventions Caused, Prolonged and Worsened the Financial CrisisStanford, CAHoover Institution Press 2009Google Scholar
Tett, GillianHow greed turned to panicFinancial Times 9 2009Google Scholar
Vennet, Rudi VanderThe effect of mergers and acquisitions on the efficiency and profitability of EC credit institutionsJournal of Banking and Finance 20 1996 1531CrossRefGoogle Scholar
Wæchter, PhilippeYou, MartialSubprime, la faillite mondiale? Cette crise financière qui va changer votre vieMonacoÉditions Alphée 2008Google Scholar
Weisbrot, Mark 2007
Wessel, DavidIn Fed We Trust: Ben Bernanke’s War on the Great Panic, How the Federal Reserve Became the Fourth Branch of GovernmentNew YorkCrown Publishing 2009Google Scholar
Westbrook, JesseKatz, Ian 2010
White, L. J.The S & L Debacle: Public Policy Lessons for Bank and Thrift RegulationOxford University Press 1991Google Scholar
Wilson, JamesHypo realityFinancial Times 20 2009Google Scholar
Wolf, MartinFixing Global FinanceBaltimore, MDJohns Hopkins University Press 2008Google Scholar
Wolf, MartinBasel: the mouse that did not roarFinancial Times 14 2010Google Scholar
Woodward, BobMaestro: Greenspan’s Fed and the American BoomNew YorkTouchstone 2000Google Scholar
Xiao, Yingbin 2009
Zandi, MarkFinancial Shock: A 360° Look at the Subprime Mortgage Implosion and How to Avoid the Next Financial CrisisUpper Saddle River, NJPearson Education 2009Google Scholar

Save book to Kindle

To save this book to your Kindle, first ensure coreplatform@cambridge.org is added to your Approved Personal Document E-mail List under your Personal Document Settings on the Manage Your Content and Devices page of your Amazon account. Then enter the ‘name’ part of your Kindle email address below. Find out more about saving to your Kindle.

Note you can select to save to either the @free.kindle.com or @kindle.com variations. ‘@free.kindle.com’ emails are free but can only be saved to your device when it is connected to wi-fi. ‘@kindle.com’ emails can be delivered even when you are not connected to wi-fi, but note that service fees apply.

Find out more about the Kindle Personal Document Service.

  • Bibliography
  • Johan A. Lybeck
  • Book: A Global History of the Financial Crash of 2007–10
  • Online publication: 05 June 2012
  • Chapter DOI: https://doi.org/10.1017/CBO9780511984495.013
Available formats
×

Save book to Dropbox

To save content items to your account, please confirm that you agree to abide by our usage policies. If this is the first time you use this feature, you will be asked to authorise Cambridge Core to connect with your account. Find out more about saving content to Dropbox.

  • Bibliography
  • Johan A. Lybeck
  • Book: A Global History of the Financial Crash of 2007–10
  • Online publication: 05 June 2012
  • Chapter DOI: https://doi.org/10.1017/CBO9780511984495.013
Available formats
×

Save book to Google Drive

To save content items to your account, please confirm that you agree to abide by our usage policies. If this is the first time you use this feature, you will be asked to authorise Cambridge Core to connect with your account. Find out more about saving content to Google Drive.

  • Bibliography
  • Johan A. Lybeck
  • Book: A Global History of the Financial Crash of 2007–10
  • Online publication: 05 June 2012
  • Chapter DOI: https://doi.org/10.1017/CBO9780511984495.013
Available formats
×