Historical narrative integrated with graphs based on a unique dataset chronicle the last 200 years of monetary history in Norway.Hinweis: Dieser Artikel kann nur an eine deutsche Lieferadresse ausgeliefert werden.
Øyvind Eitrheim is a director at General Secretariat, Norges Bank. He served as Director of the Research Department at Norges Bank from 2001 to 2009 and is currently coordinating projects related to Norges Bank's Bicentenary Project 1816-2016. Selected publications include The Econometrics of Macroeconomic Modeling (2005, with G. Bårdsen, E. S. Jansen and R. Nymoen), Twenty Years of Inflation Targeting: Lessons Learned and Future Prospects (2010, co-edited with D. Cobham, S. Gerlach and J. F. Qvigstad), and Central Banks at a Crossroads: What Can We Learn from History? (2016, co-edited with M. D. Bordo, M. Flandreau and J. F. Qvigstad).
Inhaltsangabe
Preface; 1. A monetary history in five parts; Part I. The Long Promise, 1814 50: 2. The Dano Norwegian monetary system before 1816; 3. The thorny road to resumption, 1816 48; Part II. The Rise of Private Deposit Taking Banks, 1850 1914: 4. Newfound stability in times of crisis, 1848 70; 5. Volatility and stability in the time of gold, 1870 92; 6. Stability in times of crisis and growth, 1892 1914; Part III. World War I and Turbulent Interwar Years, 1914 40: 7. The wartime money glut, 1914 20; 8. Bank crises and resumption of pre war gold parity, 1920 8; 9. The early escape from the golden fetters, 1928 40; Part IV. Money in Times of War, Central Planning and Regulation, 1940 86: 10. Extreme liquidity creation during the occupation years 1940 5; 11. Money in a new world, 1945 55; 12. The era of corporative policy and regulation, 1955 71; 13. From regulation to markets, 1971 86; Part V. The Long Return, 1986 2016: 14. A decade of crises and reforms, 1986 98; 15. Inflation targeting overcoming the fear of floating, 1998 2016; 16. The future of money seen from the past; Bibliography; Index.
Preface; 1. A monetary history in five parts; Part I. The Long Promise, 1814 50: 2. The Dano Norwegian monetary system before 1816; 3. The thorny road to resumption, 1816 48; Part II. The Rise of Private Deposit Taking Banks, 1850 1914: 4. Newfound stability in times of crisis, 1848 70; 5. Volatility and stability in the time of gold, 1870 92; 6. Stability in times of crisis and growth, 1892 1914; Part III. World War I and Turbulent Interwar Years, 1914 40: 7. The wartime money glut, 1914 20; 8. Bank crises and resumption of pre war gold parity, 1920 8; 9. The early escape from the golden fetters, 1928 40; Part IV. Money in Times of War, Central Planning and Regulation, 1940 86: 10. Extreme liquidity creation during the occupation years 1940 5; 11. Money in a new world, 1945 55; 12. The era of corporative policy and regulation, 1955 71; 13. From regulation to markets, 1971 86; Part V. The Long Return, 1986 2016: 14. A decade of crises and reforms, 1986 98; 15. Inflation targeting overcoming the fear of floating, 1998 2016; 16. The future of money seen from the past; Bibliography; Index.
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