From the Great Depression to the Euro Crisis, 1929-2013: A Global Approach

dc.contributor.author
Catalán, Jordi
dc.date.issued
2016-01-29T11:14:42Z
dc.date.issued
2016-01-29T11:14:42Z
dc.date.issued
2014
dc.date.issued
2016-01-29T11:14:42Z
dc.identifier
1132-7200
dc.identifier
https://hdl.handle.net/2445/69084
dc.identifier
644543
dc.description.abstract
This article identifies the main global crises that have occurred since 1929 and analyses their causes by focusing on a sample of 12 significant economies. A comparative historical analysis is used to show that major global slumps resulted from a combination of excessive speculation in financial markets and government mishandling of demand-management policies.
dc.format
31 p.
dc.format
application/pdf
dc.format
application/pdf
dc.language
eng
dc.publisher
Universitat de Barcelona
dc.relation
Reproducció del document publicat a: http://www.raco.cat/index.php/HistoriaIndustrial/article/view/285608/373560
dc.relation
Revista de Historia Industrial, 2014, vol. 2014, num. 56, p. 15-45
dc.rights
(c) Universitat de Barcelona, 2014
dc.rights
info:eu-repo/semantics/openAccess
dc.source
Articles publicats en revistes (Història Econòmica, Institucions, Política i Economia Mundial)
dc.subject
Crisis econòmiques
dc.subject
Crisis financeres
dc.subject
Globalització (Economia)
dc.subject
Política econòmica
dc.subject
Depressions
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Financial crises
dc.subject
Globalization (Economics)
dc.subject
Economic policy
dc.title
From the Great Depression to the Euro Crisis, 1929-2013: A Global Approach
dc.type
info:eu-repo/semantics/article
dc.type
info:eu-repo/semantics/publishedVersion


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