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dc.rights.licenseopenen_US
hal.structure.identifierGroupe de Recherche en Economie Théorique et Appliquée [GREThA]
dc.contributor.authorBLANCHETON, Bertrand
IDREF: 056574789
dc.date.accessioned2020-02-19T09:50:01Z
dc.date.available2020-02-19T09:50:01Z
dc.date.issued2016
dc.identifier.issn0264-9993en_US
dc.identifier.urihttps://oskar-bordeaux.fr/handle/20.500.12278/3545
dc.description.abstractEnThis article puts the independence of central banks into historical perspective. In doing so, it underlines the highly versatile nature of the balance of forces between central banks and governments. From this viewpoint, the situation of public finances emerges as a key explanatory factor, and an analysis of the sequence of central banking models is proposed from the late 19 th century to the present day. The article upholds the thesis of the emergence, since the subprime crisis, of a new model qualified as "tacit low-degree independence": central banks have, of their own volition, given up some of their de facto independence, helping governments to contain the rise in national debt. But while keeping a step ahead of pressure from governments, they have lost the control of money supply.
dc.language.isoENen_US
dc.subject.enCentral bank independence
dc.subject.enCentral banking
dc.subject.enPublic debt
dc.title.enCentral bank independence in a historical perspective. Myth, lessons and a new model
dc.typeArticle de revueen_US
dc.identifier.doi10.1016/j.econmod.2015.02.027en_US
dc.subject.halEconomie et finance quantitative [q-fin]en_US
dc.subject.halÉconomie et finance quantitative [q-fin]
bordeaux.journalEconomic Modellingen_US
bordeaux.page101-107en_US
bordeaux.volume52en_US
bordeaux.hal.laboratoriesGroupe de Recherche en Economie Théorique et Appliquée (GREThA) - UMR 5113en_US
bordeaux.institutionUniversité de Bordeauxen_US
bordeaux.peerReviewedouien_US
bordeaux.inpressnonen_US
hal.identifierhal-03124884
hal.version1
hal.date.transferred2021-01-29T08:50:09Z
hal.exporttrue
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