Varieties of Capital-Market Crises

Author:

Calvo Guillermo A.

Publisher

Palgrave Macmillan UK

Reference15 articles.

1. Calvo, G. A. (1986) ‘Temporary Stabilization: Predetermined Exchange Rates’ Journal of Political Economy, vol. 94, no. 6, pp. 1319–29.

2. Calvo, G. A. (1988) ‘Servicing the Public Debt: The Role of Expectations’ American Economic Review, vol, 78, no. 4, pp. 647–61.

3. Calvo, G. A. and Mendoza, E. G. (1996a) ‘Mexico’s Balance-of-Payments Crisis: A Chronicle of a Death Foretold’, Journal of International Economics, vol. 41, pp. 235–64.

4. Calvo, G. A. and Mendoza, E. G. (1996b) ‘Costly Information Aversion to Deviate, and the Incentives for Rational Herd Behavior in Global Securities Markets’, manuscript, November, Centre for International Economics, University of Maryland, USA.

5. Diamond, D. W. and Dybvig, P. H. (1983) ‘Bank Runs, Deposit Insurance, and Liquidity’, Journal of Political Economy, vol. 91, pp. 401–19.

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