Capital Gaps, Risk Dynamics, and the Macroeconomy /

Motivated by the increasing interest in analyzing the links between the financial sector and the real economy, we develop a macro-financial structural model with two novel features. First, we include idiosyncratic and aggregate risk in a tractable general equilibrium model. This allows us to capture...

पूर्ण विवरण

ग्रंथसूची विवरण
मुख्य लेखक: Lipinsky, Fabian
अन्य लेखक: Miescu, Mirela
स्वरूप: पत्रिका
भाषा:English
प्रकाशित: Washington, D.C. : International Monetary Fund, 2020.
श्रृंखला:IMF Working Papers; Working Paper ; No. 2020/209
ऑनलाइन पहुंच:Full text available on IMF