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JEL: G21 - Banks; Depository Institutions; Micro Finance Institutions; Mortgages
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Journal Article
The money multiplier and competing theories of money creation: empirical validation for Russia
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Vadim Grishchenko and others
Cambridge Journal of Economics, Volume 49, Issue 2, March 2025, Pages 343–383, https://doi.org/10.1093/cje/beae036
Published: 20 March 2025
Journal Article
Hedge funds, systemic risk and the market for mortgage-backed securities
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Anthony W Orlando
Cambridge Journal of Economics, Volume 47, Issue 6, November 2023, Pages 1187–1206, https://doi.org/10.1093/cje/bead044
Published: 04 December 2023
Journal Article
Financialisation and the authoritarian state: the case of Russia
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Anna Mishura and Svetlana Ageeva
Cambridge Journal of Economics, Volume 46, Issue 5, September 2022, Pages 1109–1140, https://doi.org/10.1093/cje/beac038
Published: 04 August 2022
Journal Article
The regional distinctiveness and variegation of financialisation in emerging economies
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Ewa Karwowski
Cambridge Journal of Economics, Volume 46, Issue 5, September 2022, Pages 931–954, https://doi.org/10.1093/cje/beac033
Published: 26 July 2022
Journal Article
Ownership diversity and the risk-taking channel of monetary policy transmission
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Giorgio Caselli and others
Cambridge Journal of Economics, Volume 44, Issue 6, November 2020, Pages 1329–1364, https://doi.org/10.1093/cje/beaa011
Published: 04 July 2020
Journal Article
The misdirection of bankers’ moral compass in the organizational field of banking Open Access
Irene van Staveren
Cambridge Journal of Economics, Volume 44, Issue 3, May 2020, Pages 507–526, https://doi.org/10.1093/cje/bez052
Published: 24 February 2020
Journal Article
Too big to manage: US megabanks’ competition by innovation and the microfoundations of financialization
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Nicole Cerpa Vielma and others
Cambridge Journal of Economics, Volume 43, Issue 4, July 2019, Pages 1103–1121, https://doi.org/10.1093/cje/bez027
Published: 04 July 2019
Journal Article
Shadow banking and the financial side of financialisation
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Eugenio Caverzasi and others
Cambridge Journal of Economics, Volume 43, Issue 4, July 2019, Pages 1029–1051, https://doi.org/10.1093/cje/bez020
Published: 23 May 2019
Journal Article
Why derivatives need models: the political economy of derivative valuation models
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Duncan Lindo
Cambridge Journal of Economics, Volume 42, Issue 4, July 2018, Pages 987–1008, https://doi.org/10.1093/cje/bex055
Published: 01 November 2017
Journal Article
Why the subprime crisis is different: a Minskyian approach
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Gary A. Dymski
Cambridge Journal of Economics, Volume 34, Issue 2, March 2010, Pages 239–255, https://doi.org/10.1093/cje/bep054
Published: 23 December 2009
Journal Article
Banks, regional development disparity and growth: evidence from Turkey
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Zeynep Önder and Süheyla Özyıldırım
Cambridge Journal of Economics, Volume 34, Issue 6, November 2010, Pages 975–1000, https://doi.org/10.1093/cje/bep077
Published: 11 December 2009
Journal Article
Why don't the bailouts work? Design of a new financial system versus a return to normalcy
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Jan Kregel
Cambridge Journal of Economics, Volume 33, Issue 4, July 2009, Pages 653–663, https://doi.org/10.1093/cje/bep036
Published: 01 July 2009
Journal Article
Banking strategy and credit expansion: a post-Keynesian approach
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Antonio J. Alves and others
Cambridge Journal of Economics, Volume 32, Issue 3, May 2008, Pages 395–420, https://doi.org/10.1093/cje/bem035
Published: 07 December 2007
Journal Article
The characteristics of a monetary economy: a Keynes–Schumpeter approach
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Giancarlo Bertocco
Cambridge Journal of Economics, Volume 31, Issue 1, January 2007, Pages 101–122, https://doi.org/10.1093/cje/bel002
Published: 27 March 2006
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