
Boom and Bust. A Brief Analysis of the Financial Cycle and its Lessons
Qian Ding(Author)
GRIN Verlag
1st Edition
Published on 17. January 2020
37 pages
978-3-346-09868-9 (ISBN)
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Seminar paper from the year 2019 in the subject Economics - Economic Cycle and Growth, grade: 1.3, University of Göttingen (Wirtschaftswissenschaftliche Fakultät), course: International Financial Market, language: English, abstract: This paper mainly analyzes the implications of the financial cycle and its interactions with the traditional business cycle. Using frequency-based filter and turning-point analysis to measure duration, amplitude and evolution of the financial cycle it is shown, that the results of both approaches for the financial cycle are similar and fit the actual dates well.
Further, it is found find that although financial and economic cycles are completely different, they are closely related.The financial cycle significantly amplifies fluctuations in the real economy. Other issues such like optimal monetary and fiscal policies and potential warning indicators are also analyzed.
More details
Edition
1. Auflage
Language
English
Place of publication
München
Germany
File size
2,41 MB
ISBN-13
978-3-346-09868-9 (9783346098689)
Schweitzer Classification
Other editions
Additional editions

Book
02/2020
1st Edition
GRIN Verlag
€18.95
Shipment within 10-15 days
Content
- Intro
- List of Tables/Figures
- 1. Introduction
- 2. Theory of the Financial Cycle
- 2.1 Identification of the Financial Cycle: Measurement and Empirical Regularities
- 2.1.1 Indicators and Approaches
- 2.1.2 Basic Features and Characteristics
- 2.2 Financial Cycle and Business Cycle: Interactions
- 3. The Financial Cycle: Challenges and Implications
- 3.1 Theoretical Derivation and Reflections
- 3.2 Challenges, Warnings and Coping Strategies
- 4. Conclusions
- References
- Annex Table A: Financial Crises and Peaks in the Financial Cycle
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