365
Cha, Myung Soo, and Nak Nyeon Kim. 2006. “Korea’s First Industrial Revolution, 1911–40.”
Naksungdae Institute of Economic Research Working Paper 2006–3. Naksungdae Institute of Economic
Research, Seoul. June.
Cheng, Linsun. 2003.
Banking in Modern China: Entrepreneurs, Professional Managers, and the Development of Chinese Banks, 1897–1937. Cambridge: Cambridge University Press.
Chuhan, Punam, Stijn Claessens, and Nlandu Mamingi. 1998. “Equity and Bond Flows to Asia and Latin
America: The Role of Global and Country Factors.”
Journal of Development Economics (55): 123–150.
Cipolla, Carlo. 1982.
The Monetary Policy of Fourteenth Century Florence. Berkeley: University of
California Press.
Clay, C. G. A. 2000.
Gold for the Sultan: Western Bankers and Ottoman Finance 1856–1881: A Contribution to Ottoman and International Financial History. London and New York: I. B. Tauris.
Cole, Harold L., and Patrick J. Kehoe. 1996. “Reputation Spillover across Relationships: Reviving
Reputation Models of Debt.” Staff Report 209. Federal Reserve Bank of Minneapolis.
Conant, Charles A. 1915.
A History of Modern Banks of Issue. 5th ed. New York: G. P. Putnam’s Sons.
Condoide, Mikhail V. 1951.
The Soviet Financial System: Its Development and Relations with the Western World. Columbus: Ohio State University.
Cooper, Richard. 2005. “Living with Global Imbalances: A Contrarian View.” Policy brief. Institute for
International
Economics, Washington, D.C.
Correlates of War. Militarized Interstate Disputes Database.
http://correlatesofwar.org/. Course of the exchange. Reported by John Castaing. Available at
http://www.le.ac.uk/hi/bon/ESFDB/NEAL/neal.html. Cowan, Kevin, Eduardo Levy-Yeyati, Ugo Panizza, and Federico Sturzenegger. 2006. “Sovereign Debt in the Americas: New Data and Stylized Facts.” Working Paper 577.
Research Department, Inter-American
Development Bank, Washington, D.C. Available at
http://www.iadb.org/res/pub_desc.cfm?pub_id=DBA-007. Crisp, Olga. 1976.
Studies in the Russian Economy before 1914. London: Macmillan.
Curcuru, Stephanie,
Charles Thomas, and Frank Warnock. 2008. “Current Account Sustainability and
Relative Reliability.” NBER
International Seminar on Macroeconomics 2008. Chicago: University of
Chicago Press for the National Bureau of Economic Research.
Della Paolera, Gerardo, and Alan M. Taylor. 1999. “Internal versus External Convertibility and
Developing-Country Financial Crises: Lessons from the Argentine Bank Bailout of the 1930s.” NBER
Working Paper 7386. National Bureau of Economic Research,
Cambridge, Mass. October. de Maddalena, Aldo. 1974.
Prezzi e Mercedi a Milano dal 1701 al 1860. Milan: Banca Commerciale
Italiana.
Demirgüç-Kunt, Asli, and Enrica Detragiache. 1998. “The Determinants of Banking Crises in
Developing and Developed Countries.”
IMF Staff Papers 45: 81–109.
———. 1999. “Financial Liberalization and Financial Fragility.” In
Annual World Bank Conference on Development Economics, 1998, ed. Boris Pleskovic and Joseph Stiglitz. Washington, D.C.: World Bank.
Diamond, Douglas, and Philip H. Dybvig. 1983. “Bank Runs, Deposit Insurance, and Liquidity.”
Journal of Political Economy 91 (3): 401–419.
Diamond, Douglas, and Raghuram Rajan. 2001. “Liquidity Risk, Liquidity
Creation and Financial Fragility: A Theory of Banking.”
Journal of Political Economy 109 (April): 287–327.
Diamond, Peter A. 1965. “National Debt in a Neoclassical Growth Model.”
American Economic Review 55 (5): 1126–1150.
Díaz, José B., Rolf Lüders, and Gert Wagner. 2005. “Chile, 1810–2000, La República en Cifras.”
Mimeo. Instituto de Economía, Pontificia Universidad Católica de Chile, Santiago. May.
Diaz-Alejandro, Carlos. 1983. “Stories of the 1930s for the 1980s.” In
Financial Policies and the World Сподели с приятели: