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The Financial Crisis 2007-08 and Causality: A Hicksian Perspective. (2010). Fernandez-Pol, Eduardo .
In: Economics Working Papers.
RePEc:uow:depec1:wp10-03.

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  5. Diamond, Douglas W. and Raghuram Rajan (2009), The Credit Crisis: Conjectures about Causes and Remedies, NBER Working Paper Series, February. At http://www.nber.org/papers/w14739 Granger, C.W.J. (1969), Investigating Causal Relations by Econometric Models and Cross-spectral Methods, Econometrica, 37, pp. 424-438.

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  7. Hicks, John R. (1979), Causality in Economics. Basil Blackwell: Oxford.
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  8. Khandani, Amir E., Andrew W. Lo, and Robert C. Merton (2009), Systemic Risk and the Refinancing Ratchet Effect, NBER Working Paper Series, September. At http://www.nber.org/papers/w15362 Kyland, Finn, and Edward Prescott (1977), Rules Rather than Discretion: The Inconsistency of Optimal Plans, Journal of Political Economy, 85, 473-492.

  9. Pol, Eduardo (2009), On Regulating Financial Innovations, International Finance Review, 10, Credit, Currency or Derivatives: Instruments of Global Financial Stability or Crisis? J. Jay Choi and Michael G. Papaioannou (eds.), pp.105132.
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  10. Samuelson, Paul A. (1965), Foundations of Economic Analysis with a New Introduction. New York: Atheneum. Originally published by Harvard University Press in 1947.
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  11. Soros, George (2009), The Game Changer, Financial Times, January 28.
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  12. Stern, Gary H., and Ron J. Feldman (2004). Too Big to Fail: The Hazards of Bank Bailouts. Washington D.C.: Brookings Institution Press.
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  13. Taylor, John B. (2009), The Financial Crisis and the Policy Responses: An Empirical Analysis of What Went Wrong, NBER Working Paper Series, January. At http://www.nber.org/papers/w14631.html. . I1: Global saving glut; I2: Loose monetary policy; I3: Sub-prime mortgage; I4: Securitization; I5: Re-securitization; I6: Credit Default Swaps; I7: Ignorance I8: Snatcher culture; and I9: Poor supervision I10: Too-big-to-fail

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