Communiqués officiels
- G20 (sommets et réunions ministérielles)
Rapports périodiques
- Bank for International Settlements, Annual Report (June)
- International Monetary Fund, Global Financial Stability Report (April and October + updates)
- International Monetary Fund, Financial Stress and Economic Downturns
- European Central Bank, Financial Stability Review (June and December)
- Bank of England, Financial Stability Report (May and October)
- Banque de France, Revue de la stabilité financière (printemps et automne de chaque année)
Rapports spécifiques
- Brunnermeier, Markus, et al. (2009), The Fundamental Principles of Financial Regulation
- Group of Thirty (2009), Financial Reform: A Framework for Financial Stability (me demander)
Sources privées
- Institute of International Finance, Financial Markets Forecast, December 2008
- Financial Times, Bailout scoreboard
Papiers de recherche
Adrian, Tobias, and Hyun Song Shin (2008a), Liquidity and Financial Contagion, Banque de France, Financial Stability Review, February
Adrian, Tobias, and Hyun Song Shin (2008b), Money, Liquidity and Monetary Policy, 2009 AEA Conference
Allen, Franklin, and Douglas Gale (2007), An Introduction to Financial Crises, mimeo.
Bernanke, Ben (1991), "Nonmonetary Effects of the Financial Crisis in the Propagation of the Great Depression", in New Keynesian Economics: Coordination Failures and Real Rigidities, edited by N. Gregory Mankiw and David Romer, MIT Press, Vol. 2, pp 293-324.
Bernanke, Ben (2005), The Global Saving Glut and the U.S. Current Account Deficit
Bernanke, Ben (2009), The Crisis and the Policy Response, Speech, 13 January.
Bernanke, Ben, and Mark Gertler (2001), “Should Central Banks Respond to Movements in Asset Prices?”, American Economic Review vol. 91, pp. 253-257.
Bernanke, Ben, Vincent Reinhart, and Brian Sack (2004), Monetary Policy Alternatives at the Zero Bound: An Empirical Assessment, Fed Working Paper No 2004-48.
Bini Smaghi, Lorenzo (2009), Three Questions on Monetary Easing, Speech, March.
Blanchard, Olivier (2008), The Crisis: Initial Conditions, Basic Mechanisms, and Appropriate Policies.
Borio, Claudio (2008), The Financial Turmoil of 2007-?: A Preliminary Assessment and Some Policy Considerations, BIS Working Paper No251, March
Brunnermeier, Markus (2009), Deciphering the Liquidity and Credit Crunch 2007-08, Journal of Economic Perspectives, forthcoming.
Caballero, Ricardo (2009), A Global Perspective on the Great Financial Insurance Run: Causes, Consequences, and Solutions
Caballero, Ricardo, Emmanuel Fahri and Pierre-Olivier Gourinchas (2008),"An Equilibrium Model of 'Global Imbalances' and Low Interest Rates", American Economic Review, March.
Caballero, Ricardo, Emmanuel Fahri and Pierre-Olivier Gourinchas (2009), "Financial Crash, Commodity Prices and Global Imbalances", Brookings Papers on Economic Activity, forthcoming
Caballero, Ricardo, Takeo Hoshi, and Anil Kashyap (2008), Zombie Lending and Depressed Restructuring in Japan, American Economic Review vol 98 No 5, pp. 1943-1977.
Caballero, Ricardo, and Arvind Krishnamurthy (2008a), "Musical Chairs: A Comment on the Credit Crisis", Financial Stability Review 11, Banque de Frence, February.
Caballero, Ricardo, and Arvind Krishnamurthy (2008b), Global Imbalances and Financial Fragility, 2009 AEA Conference Paper
Caballero, Ricardo, and Pablo Kurlat (2009), Public-Private Partnerships for Liquidity Provision, mimeo, March
Calomiris, Charles, Daniela Klingebiel, and Luc Laeven (2004), A Taxonomy of Financial Crisis Resolution Mechanisms: Cross-Country Experience, World Bank Working Paper.
Claessens, Stilj , M. Ayhan Kose, and Marco E. Terrones (2008), What Happens During Recessions, Crunches and Busts?, IMF Working paper
Cogan, John, et al. (2009), New Keynesian versus Old Keynesian Government Spending Multipliers
Dewatripont, Mathias, and Jean-Charles Rochet (2009), "The Treatment of Distressed Banks", in Dewatripont, M., Freixas, X., and Portes, R. Macroeconomic Stability and Financial Regulation: Key Issues for the G20, CEPR-ebook, March.
Diamond, David, and Philip Dybvig (1983), Bank Runs, Deposit Insurance, and Liquidity, Journal of Political Economy vol. 91, pp 401-419.
Diamond, David, and Raghuram Rajan (2008a), Illiquidity and Interest Rate Policy, mimeo, November
Diamond, David, and Raghuram Rajan (2008b), The Credit Crisis: Conjectures about Causes and Remedies, 2009 AEA Conference
Eichengreen, Barry (1992), Golden Fetters: The Gold Standard and the Great Depression, Oxford University Press.
Eichengreen, Barry (2008), Origins and Responses to the Current Crisis, CESifo Forum 4/2008.
Englund, Peter (1999), "The Swedish Banking Crisis: Roots and Consequences", Oxford Review on Economic Policy vol 15 n°3, pp 80-97
European Central Bank (2005), Asset Price Bubbles and Monetary Policy, ECB Bulletin 04/2005.
Fahri, Emmanuel, and Jean Tirole (2008), Leverage and the Central Banker's Put, 2009 AEA Conference Paper
Federal Reserve (2009), Credit and Liquidity Programs and the Balance Sheet.
Freedman, Charles, et al (2009), The Case for Global Fiscal Stimulus, IMF Staff Position Note, March.
Friedman, Milton, and Anna Jacobson Schwartz (1963), The Great Contraction 1929-1933, Princeton University Press.
Holmstrom, Bengt, and Jean Tirole (1998), Private and Public Supply of Liquidity, Journal of Political Economy vol. 106, pp. 1-40.
Heikensten, Lars (1998), Financial Crisis, experiences from Sweden, mimeo
Hellwig, Martin (2008a), Systemic Risk in the Financial Sector: An Analysis of the Subprime-Mortgage Financial Crisis, mimeo, November.
Hellwig, Martin (2008b), The Causes of the Financial Crisis, CESifo Forum 4/08
Hoshi, Takeo, and Anil Kashyap (2008), Will the US Bank Recapitalisation Succeed? Lessons from Japan, 2009 AEA Conference Paper
Greenspan, Alan (1999), Testimony before the Committee on Banking and Financial Services, U.S. House of Representatives July 22
Ivashina, Victoria, and David Schrafstein (2008), Bank Lending during the Financial Crisis of 2008, 2009 AEA Conference Paper
Kashyap, Anil, Raghuram Rajan and Jeremy Stein (2008), "Rethinking Capital Regulation", paper prepared for the Jackson Hole Conference, August.
King, Mervyn (2009), Speech at Nottigham, 20 January
Kiyotaki, Nobuhiro, and John Moore (1997), Credit Cycles, Journal of Political Economy vol 105 pp 211-248.
Krugman, Paul (1998), Japan's trap, mimeo
Krugman, Paul (2000), Thinking about the Liquidity Trap », Journal of the Japanese and
International Economies vol. 14 No 4, pp. 221-237
Laeven, Luc, and Fabian Valencia (2008), Systemic Banking Crises: A New Database , IMF Working Paper n°08/224, November.
Mendoza, Enrique, and Marco Terrones (2008),An Anatomy of Credit Booms: Evidence From Macro Aggregates and Micro Data, IMFWorking Paper
Mishkin, Frederic (2008), How Should We Respond to Asset Price Bubbles?, speech, 15 May.
Reinhart, Carmen, and Kenneth Rogof (2008a), This Time is Different: A Panoramic View of Eight Centuries of Financial Crises, mimeo.
Reinhart, Carmen, and Kenneth Rogof (2008b), The Aftermath of Financial Crises, mimeo.
Saha, David, and Jakob von Weizsäcker (2009), Estimating the size of the European stimulus packages for 2009: An Update, Bruegel Note.
Sargent, Thomas, and Neil Wallace (1981), Some Unpleasant Monetarist Arithmetics, Federal Reserve Bank of Minneapolis Quarterly Review vol 5 No 3, pp 321-337.
Spilimbergo, Antonio, et al. (2008), Fiscal Policy for the Crisis, IMF Staff Position Note.
Summers, Larry (2009), Responding to an Historic Economic Crisis: The Obama Program, March.
Stiglitz, Joseph, et Andrew Weiss (1981), Credit Rationing in Markets with Imperfect Information, American Economic Review vol 71, pp 393-410.
Tong, Hui, and Shang-Jin Wei (2008), Real Effects of the Subprime Mortgage Crisis: Is it a Demand or a Finance Shock?, NBER Working Paper No 14205, July.
Turner, Adair (2009), The Turner Review, A regulatory response to the global banking crisis, Financial Services Authority, March.
Ventura, Jaume (2003), Economic Growth with Bubbles, mimeo, Universitat Pompeu Fabra
Veronesi, Paulo, and Luigi Zingales (2008), Paulson's Gift, 2009 AEA Conference Paper
Woodford, Michael. "Fiscal Requirements For Price Stability," Journal of Money, Credit and Banking, 2001, v33(3,Aug), pp. 669-728
Woodford, Michael (2007), How Important is Money in the Conduct of Monetary Policy?, forthcoming JCMB
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