FİNANSAL KRİZLERİN TARİHSEL PERSPEKTİFİ: 19. VE 20. YÜZYIL KRİZLERİ VE MODERN EKONOMİYE ETKİLERİ
Öz
Anahtar Kelimeler
Finansal Krizler , 19.yy Krizleri , 20.yy Krizleri , Modern ekonomi
Kaynakça
- Akerlof, G. A. (1970). “The Market For “Lemons”: Quality Uncertainty and the Market Mechanism”. The Quarterly Journal of Economics, 84(3): 488–500.
- Aldcroft, D. H. (1977). From Versailles To Wall Street, 1919–1929. University Of California Press.
- Adelman, M. A. (1995). The Genie Out Of The Bottle: World Oil Since 1970. MIT Press.
- Akbaş, M. E. (2017). “1800’lerin Küresel Krizleri, Büyük Depresyon ve 2008 Krizi”. İstanbul Gelişim Üniversitesi Sosyal Bilimler Dergisi, 4(1): 77–127.
- Ayyıldız, F. V. (2017). “Felsefeden İktisada, İktisattan Krizlere, Krizlerden De Türkiye’ye Dersler”. Karadeniz Uluslararası Bilimsel Dergi, 220–232.
- Ba, H. (2018). “The Systemic Causes of Financial Crises in the Long Nineteenth Century”. Business And Politics, 20(3): 208–238.
- Blinder, A. S. (1979). Economic Policy And The Great Stagflation. Academic Press.
- Bromley, S. (1991). American Hegemony and World Oil: The Industry, The State System and the World Economy. Penn State University Press.
- Calomiris, C. W., & Schweikart, L. (1991). “The Panic of 1857: Origins, Transmission, and Containment”. The Journal of Economic History, 51(4): 807–834.
- Carlson, M. (2007). “A Brief History Of The 1987 Stock Market Crash With A Discussion Of The Federal Reserve Response”. Board of Governors of the Federal Reserve System, Finance And Economics Discussion Series, 2007-13, 1–28.