- Title Pages
- 1 Introduction
- I Recent Financial Crises
- 2 The 1990s and Early 2000s
- 3 The 2008 Global Crisis
- 4 The Crisis in the Euro Zone
- II Elements of the Theory of Financial Crises
- 5 Analytics of Financial Fragility of Banks
- 6 Analytics of Credit Frictions and Market Freezes
- 7 Analytics of Asset Bubbles
- III Exchange Rates and Capital Flows
- 8 Analytics of Currency Crises
- 9 Foreign Investment: Information Asymmetry
- 10 Foreign Investment: Liquidity Shocks
- IV The Emerging Macroeconomic Paradigm
- 11 The Benchmark Paradigm
- 12 Leveraging, De-leveraging, and the Liquidity Trap
- 13 Amplification and Persistency of Shocks in Dynamic Macroeconomic Models
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