GLOBAL FINANCIAL CRISIS - Indiana University
Transcript of GLOBAL FINANCIAL CRISIS - Indiana University
COMPILED FOR THE
CENTER FOR THE STUDY OF GLOBAL CHANGE
BY
JOSÉ J. REYES
UNDER THE DIRECTION OF
ROBERT GOEHLERT
INDIANA UNIVERSITY
BLOOMINGTON
2009
GLOBAL FINANCIALCRISIS:
A BIBLIOGRAPHY
PLEASE DO NOT REPRODUCE THIS MATERIAL WITHOUT WRITTEN PERMISSION OF THE AUTHOR.© 2009 BY ROBERT GOEHLERT
Introduction
This bibliography includes English language books, Ph.D. dissertations, and working papers that were published between 1994 and 2009. The term “global financial crisis” is applied in a very broad context focusing on the factors that caused financial turmoil in several countries and its impact. Some of the studies draw comparisons between two or more countries while others focus specifically on a single country. Several publications seek to explain currency crisis by employing theoretical models, or empirical-based conclusions.
The databases used to compile this bibliography are:
• Bank for International Settlements • Columbia International Affairs Online • Dissertations and Theses • International Monetary Fund • National Bureau of Economic Research • Social Science Research Network • WorldCat
The databases provided varying results depending on the combination of keywords and/or descriptors used.
• Global financial crisis • International financial crisis • Monetary crisis • Currency crisis • Credit crisis • Contagion • Financial panic • Subprime mortgage crisis • Bank panic • Debt crisis • Exchange rate • Sovereign debt
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Abdelal, Khaled Moh'd. “Multidimensional Aspects of International Financial Crisis in
East Asia.” Ph.D., Kansas State University, 2001. Adalet, Muge. “Capital Flows and Financial Crises: A Historical Perspective.” Ph.D.,
University of California, Berkeley, 2004. Adams, Charles F., Robert E. Litan, and Michael Pomerleano. Managing Financial and
Corporate Distress: Lessons from Asia. Washington, DC: Brookings Institution Press, 2000.
Addison, Tony Ndikumana Léonce. Overcoming the Fiscal Crisis of the African State.
Discussion Paper No. 2001/12. Helsinki, Finland: United Nations University/World Institute for Development Economics Research, 2001.
Agénor, Pierre-Richard. The Asian Financial Crisis: Causes, Contagion and
Consequences. New York: Cambridge University Press, 1999. Agenor, Pierre-Richard, Joshua Aizenman, and Alexander W Hoffmaister. Contagion,
Bank Lending Spreads and Output Fluctuations. Working Paper W6850. Cambridge, MA: National Bureau of Economic Resources, 1998.
Aghion, Philippe, Philippe Bacchetta, and Abhijit V. Banerjee. Currency Crises and
Monetary Policy in an Economy with Credit Constraints. Working Paper No. 2529. London: Centre for Economic Policy Research, 2000.
Alcena, Kevin Joseph. “An Inquiry into the Debt of a Nation: The International Debt
Crisis and the Case of the Bahamas.” Ph.D., Union Institute, 1995. Allen, Mark. A Balance Sheet Approach to Financial Crisis. Working Paper.
Washington, DC: International Monetary Fund, 2002. Allsopp, Louise Elizabeth. “The Behaviour of Speculators in Foreign Exchange
Markets.” Ph.D., University of York, 1999. Alper, C. Emre and Onis, Ziya. Emerging Market Crises and the IMF: Rethinking the
Role of the IMF in the Light of Turkey's 2000-2001 Financial Crises. ISS/EC Working Paper No. 02-03. Istanbul: Bogazici University, 2002.
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Alves Jr., Antônio J., Filho Fernando Ferrari, Luiz Fernando R. de Paula. Currency Crises, Speculative Attacks and Financial Instability in a Global World: A Post Keynesian Approach with Reference to Brazilian Currency Crisis. Working Paper. Porto Alegre, RS: Universidade Federal do Rio Grande do Sul, Curso de Pós-Graduação em Economia, 2001.
Amyx, Jennifer Ann. Japan's Financial Crisis: Institutional Rigidity and Reluctant
Change. Princeton, NJ: Princeton University Press, 2004. Andrews, David Ishii Shogo. The Mexican Financial Crisis: A Test of the Resilience of
the Markets for Developing Country Securities. Working Paper. Washington, DC: International Monetary Fund, Policy Development and Review Department, 1995.
Archer, Candace C. “The Political Economy of Global Financial Crises: Evolving
Multilateral Response Systems.” Ph.D., University of Delaware, 2003. Arestis, Philip, Michelle Baddeley, and J. S. L. McCombie. What Global Economic
Crisis? New York: Palgrave Macmillan, 2001. Arruda, Marcos. External Debt: Brazil and the International Financial Crisis. Sterling,
VA: Pluto Press, 2000. Arteta, Carlos Ó. Are Financially Dollarized Countries More Prone to Costly Crises?
Discussion Paper. Washington, DC: Board of Governors of the Federal Reserve System, Division of International Finance, 2003.
Azcona, Nestor. “Essays in International Finance.” Ph.D., New York University, 2008. Baba, Naohiko, and Frank Packer. Interpreting Deviations from Covered Interest Parity
during the Financial Market Turmoil of 2007-08. Working Paper No. 267. Basel, Switzerland: Bank for International Settlements, 2008.
Baig, Taimur. “Essays on Financial Crises in Emerging Markets: Role of Capital Inflow,
Financial Intermediaries and the Dynamics of Contagion.” Ph.D., University of Illinois at Urbana-Champaign, 1999.
Baliño, Tomás J. T., and Angel J. Ubide. The Korean Financial Crisis of 1997: A
Strategy of Financial Sector Reform. Working Paper. Washington, DC: International Monetary Fund, Monetary and Exchange Affairs Department, 1999.
Barajas, Adolfo. “Interest Rates, Agricultural Credit, and Financial Reform: A Study of
the Partial Financial Liberalization Experience in Colombia.” Ph.D., Stanford University, 1994.
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Bardhan, Ashok. Of Subprimes and Subsidies: The Political Economy of the Financial
Crisis. Berkeley: Haas School of Business, University of California, Berkeley, 2008.
Basri, Carole L. The Global Subprime Crisis: Issues You Need to Know. Corporate Law
and Practice Course Handbook Series. New York: Practicing Law Institute, 2008. Baumol, William J., Richard R. Nelson, and Edward N Wolff. Convergence of
Productivity: Cross-National Studies and Historical Evidence. New York: Oxford University Press, 1994.
Bebchuk, Lucian Arye. A Plan for Addressing the Financial Crisis. Discussion Paper No.
620. Cambridge, MA: Harvard Law and Economics, 2008. Bello, Walden F. Herbert Docena, Marissa De Guzman, and Mary Lou Malig. The
Anti-Development State: The Political Economy of Permanent Crisis in the Philippines. Diliman, Quezon City: Department of Sociology, College of Social Sciences and Philosophy, University of the Philippines Diliman and Focus on the Global South, 2004.
Benería, Lourdes, and Savitri Bisnath. Global Tensions: Challenges and Opportunities in
the World Economy. New York: Routledge, 2004. Berg, Andrew. Re-Establishing Credible Nominal Anchors after a Financial Crisis: A
Review of Recent Experience. Working Paper. Washington, DC: International Monetary Fund, 2003.
Best, Jacqueline M. “Economies of Uncertainty: The Politics of Ambiguity in
International Financial Governance.” Ph.D., Johns Hopkins University, 2002. Bethel, Jennifer E. Ferrell Allen Hu Gang. Legal and Economic Issues in Litigation
Arising from the 2007-2008 Credit Crisis. John M. Olin Discussion Paper Series. Cambridge, MA: Harvard Law School, 2008.
Bi, Ran. “Essays on Sovereign Debt Structure, Default and Renegotiation.” Ph.D.,
University of Maryland, College Park, 2008. Bianco, Katalina M. The Subprime Lending Crisis: Causes and Effects of the Mortgage
Meltdown. Chicago, IL: CCH, Wolters Kluwer Law & Business, 2008. Bijit, Bora, and Inge Nora Neufeld. “Tariffs and the East Asian Financial Crisis.” New
York: United Nations Publications, 2001.
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Bisignano, Joseph Hunter W. Curt, and George G. Kaufman. Global Financial Crises: Lessons from Recent Events. Chicago, IL: Springer, 2000.
Bitner, Richard. Confessions of a Subprime Lender: An Insider's Tale of Greed, Fraud,
and Ignorance. Hoboken, NJ: John Wiley & Sons Incorporation, 2008. ———. Greed, Fraud & Ignorance: A Subprime Insider's Look at the Mortgage
Collapse. Colleyville, TX: LTV Media LLC, 2008. Blackman, Courtney. The Practice of Economic Management: A Caribbean Perspective.
Miami, FL: Ian Randle Publishers, 2006. Blue, Ron, and Jeremy White. Surviving Financial Meltdown: Confident Decisions in an
Uncertain World. Carol Stream, IL: Tyndale House Publishers, 2009. Blustein, Paul. The Chastening: Inside the Crisis That Rocked the Global Financial
System and Humbled the IMF. New York: Public Affairs, 2001. Bookstaber, Richard. A Demon of Our Own Design: Markets, Hedge Funds, and the
Perils of Financial Innovation. Hoboken, NJ: Wiley, 2008. Borensztein, Eduardo Lee Jong-Wha. Credit Allocation and Financial Crisis in Korea.
Working Paper. Washington, DC: International Monetary Fund, Research Department, 1999.
———. Financial Crisis and Credit Crunch in Korea: Evidence from Firm-Level Data.
Working Paper. Washington, DC: International Monetary Fund, Research Department, 2000.
Borio, Claudio. The Financial Turmoil of 2007-? A Preliminary Assessment and Some
Policy Considerations. Working Paper No. 251. Basel, Switzerland: Bank for International Settlements, 2008.
Bradbury, Mathew Brent. “Essays in Emerging Market Crisis: The Role of Sovereign
Debt.” Ph.D., University of Utah, 2008. Brownwell, Charles. Subprime Meltdown: From U.S. Liquidity Crisis to Global
Recession. CreateSpace, 2008. Bruemmer, Russell J., and Andrew L Sandler. Subprime Institute, 2008, Corporate Law
and Practice Course Handbook Series. New York: Practicing Law Institute, 2008. Brummer, Alex. The Crunch: The Scandal of Northern Rock and the Escalating Credit
Crisis. London: Random House Business, 2008.
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Burton, Theodore Elijah. Financial Crises and Periods of Industrial and Commercial
Depression. New York: BN Publishing, 2008. Butters, Roger Barber. “The Role of Credit in Balance of Payments Crises.” Ph.D.,
University of California, Davis, 2003. Caliskan, Ahmet. “International Financial Crises, Term Structure of Foreign Debt and
Monetary Policy in Open Economies.” Ph.D., Texas A&M University, 2006. Calvo, Guillermo A. Crises in Emerging Market Economies: A Global Perspective.
Working Paper, Cambridge, MA: National Bureau of Economic Research, 2005. Caprio, Gerard, James A. Hanson, and Robert E. Litan. Financial Crises: Lessons from
the Past, Preparation for the Future. Washington, DC: Brookings Institution Press, 2005.
Carapella, Francesca. “Essays in Monetary Economics.” Ph.D., University of Minnesota,
2008. Carrera, Raul. “Ecuador and the International Adventures of Neoliberalism.” Ph.D.,
University of Miami, 2003. Catalan, Mario. “Financial Institutions and Economic Instability.” Ph.D., University of
California, Los Angeles, 2001. Catena, Marcelo. “Essays on International Economics: The Tequila and Caipirinha
Effects.” Ph.D., University of California, Los Angeles, 2003. Cerutti, Eugenio M. “Twin Crisis and Fixed-Exchange-Rate Regimes: Theory and
Related Empirical Studies.” Ph.D., Johns Hopkins University, 2006. Chamon, Marcos de Carvalho. “Essays on International Debt.” Ph.D., Harvard
University, 2003. Chan, Monica Mannei. “Capital Market Liberalization in the Asia-Pacific Region: Time
Series Evidence from Exchange Rates, Interest Rates, and Foreign Investments.” Ph.D., Southern Illinois University at Carbondale, 1998.
Chandrasekhar, Krishanan. “Unhealthy Twins: Exchange Rate and Banking Market
Dynamics in the Asian Region.” Ph.D., University of Notre Dame, 2000.
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Chao, Wen-Heng. “A Reassessment of State-Led Development: The State and Economic Weaknesses in Taiwan and South Korea.” Ph.D., University of Maryland, College Park, 2000.
Chen, Tsaubin. “Political Economy of Financial Liberalization in Emerging Markets: A
Comparative Study of South Korea and Taiwan in the 1990s.” Ph.D., University of Southern California, 2002.
Chhabra, Dipankar. “Financial Crises and Contagion Effects: Stock Markets, Debt
Levels, and Exchange Markets in East Asia and Latin America in the 1990s.” Ph.D., American University, 2003.
Cho, Youngwon. “A Tale of Two Emerging-Market Crashes: Mexico and South Korea in
a Comparative Perspective.” Ph.D., Queen's University (Canada), 2007. Chorafas, Dimitris N. Financial Boom and Gloom: The Credit and Banking Crisis of
2007-2009 and Beyond. New York: Palgrave Macmillan, 2009. Choueiri, Nada Georges. “Currency Crises and Contagion: The Experience of
Argentina.” Ph.D., Johns Hopkins University, 1999. Chow, Peter C. Y., and Bates Gill. Weathering the Storm: Taiwan, Its Neighbors, and the
Asian Financial Crisis. Washington, DC: Brookings Institution Press, 2000. Chowdhury, Abdur R. The Asian Currency Crisis: Origins, Lessons, and Future Outlook.
Working Paper. Helsinki, Finland: United Nations University/World Institute for Development Economics Research, 1999.
Claessens, Stijn Djankov Simeon Mody Ashoka. Resolution of Financial Distress: An
International Perspective on the Design of Bankruptcy Laws. Washington, DC: World Bank Publications, 2001.
Coe, David T., and Se-Jik Kim. Korean Crisis and Recovery. Working Paper.
Washington, DC: International Monetary Fund, 2002. Collyns, Charles, and Russell G. Kincaid. Managing Financial Crises: Recent
Experience and Lessons for Latin America. Working Paper. Washington, DC: International Monetary Fund, 2003.
Congleton, Roger D. Notes on the Financial Crisis and Bailout of 2008. Fairfax, VA:
George Mason University, 2009. Cooper, George. The Origin of Financial Crises: Central Banks, Credit Bubbles and the
Efficient Market Fallacy. New York: Vintage Books, 2008.
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Corrigan, E. Gerald. The Credit Crisis: The Quest for Stability and Reform. Washington,
DC: Group of Thirty, 2008. Das, Sujit Kanti. “Volatility of Exchange Rates and International Trade: Theory and
Evidence across Developed and Developing Economies.” Ph.D., Vanderbilt University, 2004.
Daseking, Christina. Lessons from the Crisis in Argentina. Working Paper. Washington,
DC: International Monetary Fund, 2004. Deb, Saubhik. “Essays on Crises and Recoveries.” Ph.D., Rutgers: State University of
New Jersey - New Brunswick, 2006. Dell'Ariccia, Giovanni, Deniz Igan, and Luc Laeven. Credit Booms and Lending
Standards: Evidence from the Subprime Mortgage Market. Working Paper. Washington, DC: International Monetary Fund, 2008.
Demetriades, Panicos O., and Bassam A. Fattouh. Excess Credit and the South Korean
Crisis. Working Paper. Helsinki, Finland: United Nations University/World Institute for Development Economics Research, 2006.
Dent, Harry S. The Great Depression Ahead: How to Prosper in the Crash Following the
Greatest Boom in History. New York: Free Press, 2009. D'Erasmo, Pablo Nicolas. “Essays in Dynamic Macroeconomics.” Ph.D., University of
Texas at Austin, 2008. Disyatat, Piti. “Speculative Attacks, Currency Crises, and Contagion: A Theoretical
Investigation.” Ph.D., Princeton University, 1999. Dohmen, Bert. Prelude to Meltdown. Los Angeles, CA: Dohmen Capital Research, 2007. Dondisch, Roberto. “Political Determinants of Financial Crises: A Political Flexibility
Approach to Latin American Crises.” Ph.D., Johns Hopkins University, 2007. Doyran, Mine Aysen. “Financial Crisis and Hegemony: An Investigation into the
Declinist Paradigm.” Ph.D., State University of New York at Albany, 2007. Drazen, Allan. Political Contagion in Currency Crises. Working Paper No. W7211.
Cambridge, MA: National Bureau of Economic Resources, 1999. Duncan, Richard. The Dollar Crisis: Causes, Consequences, Cures. Hoboken, NJ:
Wiley, 2005.
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Edwards, Sebastian. Crises and Growth: A Latin American Perspective. Working Paper
No. W13019. Cambridge, MA: National Bureau of Economic Resources, 2007. ———. Crisis Prevention: Lessons from Mexico and East Asia. Working Paper No.
W7233. Cambridge, MA: National Bureau of Economic Resources, 1999. ———. A Tale of Two Crises: Chile and Mexico. Working Paper No. W5794.
Cambridge, MA: National Bureau of Economic Resources. Eichengreen, Barry. Global Financial Crisis Resolution: Issues and Options.
Forskningsrapporter Från Svenska Handelshögskolan 54. Helsingfors: Swedish School of Economics and Business Administration, 2002.
Ellis, Luci. The Housing Meltdown Why Did It Happen in the United States? Working
Paper. Basel, Switzerland: Bank for International Settlement, 2008. Erdinc, Didar. “Financial Intermediation and Crisis under Macroeconomic Uncertainty in
a Liberalizing Economy: Turkey, 1980-1998.” Ph.D., University of Southern California, 2004.
Fang, Qiu. “Three Essays on Financial Crisis.” Ph.D., Utah State University, 2003. Felsenheimer, Jochen, and Philip Gisdakis. Credit Crises: From Tainted Loans to a
Global Economic Meltdown. Weinheim: Wiley-VCH, 2008. Felton, Andrew, and Carmen M. Reinhart. First Global Financial Crisis of the 21st
Century: A Voxeu.Org Publication. London, UK: Centre for Economic Policy, 2008.
Fernandez-Arias, Eduardo, and Ricardo Hausmann. Wanted: World Financial Stability.
Washington, DC: Inter-American Development Bank, 2000. Ferrell, Allen, Jennifer E. Bethel, and Gang Hu. Legal and Economic Issues in Litigation
Arising from the 2007-2008 Credit Crisis. Harvard Law and Economics Research Paper No. 08-5. Cambridge. MA: Harvard Law School Program on Risk Regulation, 2008.
Ferri, Giovanni, Tae Soo Kang, and In-June Kim. The Value of Relationship Banking
During Financial Crises Evidence from the Republic of Korea. Working Paper. Washington, DC: World Bank, Development Research Group, Finance, 2001.
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French-Davis, Ricardo. Financial Crises in “Successful” Emerging Economies. Washington, DC: United Nations Economic Commission for Latin America and the Caribbean: Brookings Institution Press, 2001.
———. Financial Crises and National Policy Issues: An Overview. Discussion Paper
No. 2002/81. Helsinki, Finland: United Nations University/World Institute for Development Economics Research, 2002.
Finger, K. Michael, and Ludger Schuknecht. Trade, Finance and Financial Crises.
Special Studies. Geneva, Switzerland: World Trade Organization, 1999. Finkbeiner, John K. “Contagious Currency Crisis and Spatial Autocorrelation in the
Structure of Foreign Exchange.” Ph.D., State University of New York at Buffalo, 2003.
Fontaine, Thomson. “Currency Crises in Developed and Emerging Market Economies: A
Comparative Empirical Treatment.” Ph.D., Clemson University, 1999. Fontenla, Matias. “Financial Crises in Developing Countries.” Ph.D., University of Texas
at Austin, 2003. Forbes, Kristin J., and Roberto Rigobon. Contagion in Latin America: Definitions,
Measurement, and Policy Implications. Working Paper No. W7885. Cambridge, MA: National Bureau of Economic Resources, 2000.
Frieden, Jeffry A. Global Capitalism: Its Fall and Rise in the Twentieth Century. New
York: W.W. Norton, 2006. Fullerton, Thomas M., Jr. “Short-Term Econometric Forecasting Analysis for Latin
America.” Ph.D., University of Florida, 1996. García, José, James Lardner, and Cindy Zeldin. Up to Our Eyeballs: How Shady Lenders
and Failed Economic Policies Are Drowning Americans in Debt. New York: New Press, 2008.
Ghosh, B. N. Global Financial Crises and Reforms: Cases and Caveats. New York:
Modern World Economy, 2001. Goldstein, Morris. What Might the Next Emerging-Market Financial Crisis Look Like?
Working Paper. Washington, DC: Institute for International Economics, 2005. Gorton, Gary B. The Panic of 2007. Working Paper No. 08-24. New Haven, CT: Yale International Center for Finance, 2008.
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———. The Subprime Panic. Working Paper No. 08-25. New Haven, CT: Yale International Center for Finance, 2008.
Glick, Reuven, Ramon Moreno, and Mark M. Spiegel. Financial Crises in Emerging
Markets. New York: Cambridge University Press, 2001. Goldstein, Morris. The Asian Financial Crisis: Causes, Cures, and Systemic Implications
(Policy Analyses in International Economics). Washington, DC: Institute for International Economics, 1998.
———. Financial Regulation after the Subprime and Credit Crisis. Washington, DC:
Peterson Institute for International Economics, 2008. Goodman, Laurie S., et al. Subprime Mortgage Credit Derivatives. Hoboken, NJ: John
Wiley & Sons, 2008. Greenspan, Alan. The Age of Turbulence: Adventures in a New World. New York:
Penguin, 2008. Griffith-Jones, Stephany. Global Capital Flows: Should They Be Regulated? New York:
Macmillan Press, 1998. Griffith-Jones, Stephany, Manuel F. Montes, and Anwar Nasution. Short-Term Capital
Flows and Economic Crises. New York: Oxford University Press, 2001. Gros, Stephane. “The 1996-1997 Financial Crisis in Bulgaria: Links between the
Banking and Currency Crises.” Ph.D., University of Delaware, 2004. Guimaraes, Bernardo de Vasconcellos. “Expectations and Crises: Theory, Empirics and
Policy.” Ph.D., Yale University, 2004. Guira, Jorge. Mercosur: Trade and Investment amid Financial Crisis. New York: Kluwer
Law International, 2003. Gup, Benton E. International Banking Crises: Large-Scale Failures, Massive
Government Interventions. Westport, CT: Quorum, 1999. Hahnel, Robin. Panic Rules! Everything You Need to Know About the Global Economy.
Cambridge, MA: South End Press, 1999. Hale, Galina Borisova. “International Debt and Financial Crises in Emerging Market
Economies.” Ph.D., University of California, Berkeley, 2002.
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Halter, Szilvia. Changes in Asset Allocation during the Subprime Crisis: Affecting Sectors and Financial Securities. Saarbrücken, Germany: VDM Verlag, 2008.
Harwood, Alison, Robert E. Litan, and Michael Pomerleano. Financial Markets and
Development: The Crisis in Emerging Markets. Washington, DC: Brookings Institution Press, 1999.
Heidrich, Pablo. The Bargain of the Unstable: Trade Negotiations and Financial Crises
in Mercosur 1995-2001. Working Paper. Los Angeles: University of Southern California, 2005.
Hemming, Richard, Michael Kell, and Axel Schimmelpfennig. Fiscal Vulnerability and
Financial Crises in Emerging Market Economies. Occasional Paper No. 218. Washington, DC: International Monetary Fund, 2003.
Herman, Barry. Global Financial Turmoil and Reform: A United Nations Perspective.
New York: United Nations University Press, 1999. Hernandez-Verme, Paula Lourdes. “Essays on Exchange Rate Regimes and International
Financial Crises.” Ph.D., University of Texas at Austin, 2002. Herold, Conrad Marius. “Working Class Struggle and the Brazilian Debt Crisis.” Ph.D.,
University of Texas at Austin, 1994. Herrero, Alicía Garcia, Jacob Gyntelberg, and Andrea Tesei. The Asian Crisis: What Did
Local Stock Markets Expect? Working Papers No. 261. Basel, Switzerland: Bank for International Settlements, 2008.
Hill, Charles W. L. The Global Financial Crisis: Causes and Consequences, Postscript
1999. Boston, MA: Irwin/McGraw-Hill, 1998. Hilscher, Jens Dietrich. “Essays in Financial Economics and Credit Risk.” Ph.D.,
Harvard University, 2005. Hoontrakul, Pongsak. Global Financial Crisis & Implications to Thailand: An
Ex-Banker’s View. Working Paper. Bangkok, Thailand: Sasin of Chulalongkorn University, 2008.
Hornbeck, John F. Brazil's Economic Reform and the Global Financial Crisis. CRS
Report No. 98-987. Washington, DC: Congressional Research Service, Library of Congress, 2000.
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Horowitz, Shale Asher, and Uk Heo. The Political Economy of International Financial Crisis: Interest Groups, Ideologies, and Institutions. Lanham, MD: Rowman & Littlefield, 2001.
Huang, Haizhou, Dalia Marin, and Chenggang Xu. Financial Crisis, Economic Recovery,
and Banking Development in Russia, Ukraine, and Other FSU Countries. Working Paper. Washington, DC: International Monetary Fund, 2004.
Huang, Haizhou and Chenggang Xu. Financial Institutions, Contagious Risks, and
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Huang, Haizhou, and Chenggang Xu. Financial Institutions, Financial Contagion and
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Hunter, William Curt, George G. Kaufman, and Thomas H. Krueger. The Asian
Financial Crisis: Origins, Implications, and Solutions. Chicago, IL: Kluwer Academic Publishers, 1999.
Hussain, Nureldin, Kupukile Mlambo, and Temitope Oshikoya. Global Financial Crisis:
Implications and Lessons for Africa. Economic Research Papers. Abidjan: African Development Bank, 1998.
Indermit, Singh Gill, and Todd Pugatch. At the Frontlines of Development: Reflections
from the World Bank. Washington, DC: World Bank Publications, 2005. Isard, Peter. Globalization and the International Financial System: What's Wrong and
What Can Be Done. New York: Cambridge University Press, 2005. Ishii, Shogo, Karl Friedrich Habermeier, and Jorge Iván Canales-Kriljenko. Capital
Account Liberalization and Financial Sector Stability. Occasional Paper. Washington, DC: International Monetary Fund, 2002.
Islam, Kazi Nazrul. “Financing Development and the Financial Crisis of Thailand: An
Empirical Investigation.” Ph.D., University of Manitoba (Canada), 2003. Ismailescu, Iuliana. “Three Essays on Emerging Capital Markets.” Ph.D., University of
Massachusetts, Amherst, 2008. Izquierdo, Jose Alejandro. “Credit Constraints, and the Asymmetric Behavior of Asset
Prices and Output under External Shocks.” Ph.D., University of Maryland, College Park, 1999.
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Jackson, James K. Iceland’s Financial Crisis. Washington, DC: Congressional Research Service, Library of Congress, 2008.
Jackson, Karl D. Asian Contagion: The Causes and Consequences of a Financial Crisis.
Boulder, CO: Westview Press, 1999. Jácome, Luis Ignacio. The Late 1990s Financial Crisis in Ecuador: Institutional
Weaknesses, Fiscal Rigidities, and Financial Dollarization at Work. Working Paper. Washington, DC: International Monetary Fund, 2004.
Jeske, Karsten. “Essays on International Debt with Risk of Repudiation.” Ph.D.,
University of Minnesota, 2000. Jickling, Mark. Averting Financial Crisis. Washington, DC: Congressional Research
Service, Library of Congress. Jo, Gab-Je. “The Roles of International Capital Flows and Financial Contagion in the
Asian Financial Crises.” Ph.D., Claremont Graduate University, 2000. Johannesson, Sigurdur. “Contagion of Speculative Pressure on European Currencies,
1973-1993.” Ph.D., Kent State University, 2001. Johnson, Omotunde E. G. Financial Risks, Stability, and Globalization: Papers
Presented at the Eighth Seminar on Central Banking, Washington, D.C. June 5-8, 2000. Washington, DC: Institute and Monetary and Exchange Affairs Department, International Monetary Fund, 2002.
Jung, Heon Joo. “Reassessing Reform Outcomes in South Korea and Japan a Decade
after Crisis: The Paradox of Political Leadership.” Ph.D., University of Pennsylvania, 2008.
Kang, Sammo. “Essays on Real Exchange Rates and Currency Crises.” Ph.D., University
of California, Los Angeles, 2000. Kanitta, Meesook. Malaysia: From Crisis to Recovery. Occasional Paper No. 207.
Washington, DC: International Monetary Fund, 2001. Kashyap, A. K. Sorting out Japan's Financial Crisis. Working Paper No. 9384,
Cambridge, MA: National Bureau of Economic Research, 2002. Katada, Saori N. Banking on Stability: Japan and the Cross-Pacific Dynamics of
International Financial Crisis Management. Ann Arbor: University of Michigan Press, 2001.
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Kato, Isamu. “Essays on Regime Changes in Exchange Rate Markets.” Ph.D., City University of New York, 2005.
Khamis, May Y. Leone Alfredo Mario. Can Currency Demand Be Stable under a
Financial Crisis? The Case of Mexico. Working Paper. Washington, DC: International Monetary Fund, Monetary and Exchange Affairs Department, 1999.
Kiff, John, and Paul S. Mills. Money for Nothing and Checks for Free: Recent
Developments in U.S. Subprime Mortgage Markets. Working Paper. Washington, DC: International Monetary Fund, 2007.
Kim, Ginil. “Essays on the Korean Crisis.” Ph.D., New School for Social Research, 2002. Kim, Seungwon. “What Caused the Asian Currency Crisis?” Ph.D., Michigan State
University, 2000. Kim, Won-ho. East Asian-Latin American Economic Relations: A Korean Perspective
after the International Financial Crisis. Working Paper. Seoul: Korea Institute for International Economic Policy, 2000.
Kindleberger, Charles Poor. Manias, Panics, and Crashes: A History of Financial Crises.
Hoboken, NJ: Wiley, 2000. Kirkpatrick, C. H., and David Tennant. Responding to Financial Crisis: Better Off
without the IMF? The Case of Jamaica. Working Paper. Manchester: Institute for Development Policy and Management, University of Manchester, 2002.
Koeda, Junko. “Sovereign Debt, Aid, and Currency Crises.” Ph.D., University of
California, Los Angeles, 2005. Korten, David C. When Corporations Rule the World. San Francisco, CA:
Berrett-Koehler Publishers, 2001. Kregel, Jan A. Changes in the U.S. Financial System and the Subprime Crisis. Working
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and Debt Deflations. Working Paper No. 235. Annandale-on-Hudson, NY: Levy Economics Institute, 1998.
Krohn, Gregory A., and William R. Gruver. The Complexities of the Financial Turmoil of
2007 and 2008. Working Paper. Lewisburg, PA: Bucknell University, 2008.
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Krugman, Paul R. The Return of Depression Economics and the Crisis of 2008. New York: W. W. Norton & Company, 2009.
Kubarych, Roger M. Stress Testing the System: Simulating the Global Consequences of
the Next Financial Crisis. New York: Council on Foreign Relations Press, 2001. Kumar, Manmohan S., Paul Masson, and Marcus Miller. Global Financial Crises:
Institutions and Incentives. Working Paper. Washington, DC: International Monetary Fund, 2000.
Lamfalussy, Alexandre. Fragility of the International Financial System: How Can We
Prevent New Crises in Emerging Markets? New York: College of European Publications, 2001.
Lazonick, William. The Japanese Financial Crisis, Corporate Governance, and
Sustainable Prosperity. Working Paper No. 227. Annandale-On-Hudson, NY: Jerome Levy Economics Institute, 1998.
Lee, Daniel R. HouseTrap: Who Set It? And How to Escape from America's Mortgage
and Housing Crisis. Bloomington, IN: iUniverse, 2008. Lee, George. Crisis, Today Asia, Tomorrow the World: Causes, Problems and Cures of
Asia's Economic/Financial Crisis. San Mateo, CA: Pioneer Publishers, 1998. Lee, Jaerang. “Essays on Economic Crisis and International Trade Policies.” Ph.D.,
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