Financial markets and monetary policy

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Last edited by MARC Bot
July 17, 2024 | History

Financial markets and monetary policy

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The decade of the 1980s left many central bankers disillusioned with monetarism, so that the question of the optimal nominal anchor remains an open one. In this second collection of his writings on financial markets (the first, On Exchange Rates, covered international finance), Jeffrey Frankel turns his attention to domestic markets, with special attention to how national monetary policy is handled. The fifteen papers are divided into three sections, each introduced by the author.

They cover, respectively, optimal portfolio diversification, indicators of expected inflation, and the determination of monetary policy in the face of uncertainty.

In the first section, Frankel explores what information the theory of optimal portfolio diversification can give the macroeconomist. In the second section, he considers what economic variables central bankers might use to gauge whether monetary policy is too tight or too loose. And in the final section, he looks at the range of uncertainty over policy effects and how that complicates coordination of macroeconomic policymaking. The book concludes with a sympathetic analysis of nominal GDP targeting.

Publish Date
Publisher
MIT Press
Language
English
Pages
321

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Previews available in: English

Edition Availability
Cover of: Financial markets and monetary policy
Financial markets and monetary policy
1995, MIT Press
in English

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Book Details


Edition Notes

Includes bibliographical references (p. [297]-316) and index.

Published in
Cambridge, Mass

Classifications

Dewey Decimal Class
332.6
Library of Congress
HG4529.5 .F73 1995

The Physical Object

Pagination
xiii, 321 p. :
Number of pages
321

ID Numbers

Open Library
OL1111217M
Internet Archive
financialmarkets0000fran
ISBN 10
0262061740
LCCN
94037015
OCLC/WorldCat
31331451
Library Thing
6475025
Goodreads
4645716

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July 17, 2024 Edited by MARC Bot import existing book
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