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Debt Service, Financing Constraints, and Fixed Investment: Evidence from Panel Data. (1999). NDIKUMANA, LEONCE.
In: Journal of Post Keynesian Economics.
RePEc:mes:postke:v:21:y:1999:i:3:p:455-478.

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  2. .

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  4. A simple model of developing countries: financing the current account deficit Abstract: A stock flow consistent model provides a monetary and financial framework to macroeconomics. It clearly shows th. (2020). SOYLU, ozgur Bayram .
    In: Eastern Journal of European Studies.
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  5. Debt-driven business cycles in historical perspective: The cases of the USA (1889-2015) and UK (1882-2010). (2019). Stockhammer, Engelbert ; Calvert Jump, Robert ; Gouzoulis, Giorgos.
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  6. Short and medium term financial-real cycles: An empirical assessment. (2019). Calvert Jump, Robert ; Kohler, Karsten ; Stockhammer, Engelbert ; Cavallero, Julian.
    In: Journal of International Money and Finance.
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  7. Financialisation, financial development, and investment: evidence from European non-financial corporations. (2018). Tori, Daniele ; Onaran, Ozlem.
    In: Greenwich Papers in Political Economy.
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  8. Foreign debt, conflicting claims and income policies in a Kaleckian model of growth and distribution. (2018). Bortz, Pablo ; Fernando, Toledo ; Gabriel, Michelena.
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  10. Financialisation and physical investment: a global race to the bottom in accumulation?. (2017). Tori, Daniele ; Onaran, Ozlem.
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  11. The effects of financialisation and financial development on investment: evidence from firm-level data in Europe. (2017). Tori, Daniele ; Onaran, Ozlem.
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  12. Firms’ Retention Behavior, Debt, and Macroeconomic Dynamics. (2017). Kim, Yun ; Isaac, Alan G.
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  13. Stock-flow Consistent Macroeconomic Models: A Survey. (2017). Zezza, Gennaro ; Nikiforos, Michalis.
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  14. Stock-flow Consistent Macroeconomic Models: A Survey. (2017). Zezza, Gennaro ; Nikiforos, Michalis.
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  15. STOCK†FLOW CONSISTENT MACROECONOMIC MODELS: A SURVEY. (2017). Zezza, Gennaro ; Veneziani, Roberto ; Nikiforos, Michalis ; Zamparelli, Luca.
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  18. The effects of financialization on investment: Evidence from firm-level data for the UK. (2016). Tori, Daniele ; Onaran, Ozlem.
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  19. A history of contemporary post Keynesian SFC model. (2015). Le Heron, Edwin ; Edwin, LE HERON ; Amine, MAROUANE .
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  20. Financialisation and the financial and economic crises: The case of Germany. (2014). Hein, Eckhard ; Detzer, Daniel.
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  21. Fresh Patterns of Liberalization, Bank Return and Return Uncertainty in Africa. (2014). Asongu, Simplice.
    In: MPRA Paper.
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  22. Financialisation and the Financial and Economic Crises: The Case of Germany. (2014). Hein, Eckhard ; Detzer, Daniel.
    In: FESSUD studies.
    RePEc:fes:fstudy:fstudy18.

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  23. Pro-shareholder income distribution, debt accumulation, and cyclical fluctuations in a post-Keynesian model with labor supply constraints. (2014). Sasaki, Hiroaki ; Fujita, Shinya.
    In: European Journal of Economics and Economic Policies: Intervention.
    RePEc:elg:ejeepi:v:11:y:2014:i:1:p10-30.

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  24. Instability, stationary utilization and effective demand: A structuralist model of endogenous cycles. (2014). Schoder, Christian.
    In: Structural Change and Economic Dynamics.
    RePEc:eee:streco:v:30:y:2014:i:c:p:10-29.

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  25. Fresh Patterns of Liberalization, Bank Return and Return Uncertainty in Africa. (2014). Asongu, Simplice.
    In: Working Papers of the African Governance and Development Institute..
    RePEc:agd:wpaper:14/004.

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  26. Fresh Patterns of Liberalization, Bank Return and Return Uncertainty in Africa. (2014). Asongu, Simplice.
    In: Research Africa Network Working Papers.
    RePEc:abh:wpaper:14/004.

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  27. Fresh Patterns of Liberalization, Bank Return and Return Uncertainty in Africa. (2014). Asongu, Simplice.
    In: AAYE Policy Research Working Paper Series.
    RePEc:aay:wpaper:14_016.

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  28. Financialization and the nonfinancial corporation: an investigation of firmlevel investment behavior in the U.S., 1971-2011. (2013). Davis, Leila.
    In: UMASS Amherst Economics Working Papers.
    RePEc:ums:papers:2013-08.

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  29. A Macroeconometric Assessment of Minsky’s Financial Instability Hypothesis. (2013). Tarassow, Artur ; Greenwood-Nimmo, Matthew .
    In: Macroeconomics and Finance Series.
    RePEc:hep:macppr:201306.

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  30. On the Short-run Relationship between the Income Distribution- and Finance-Growth Regimes. (2012). NISHI, Hiroshi.
    In: Discussion papers.
    RePEc:kue:dpaper:e-12-001.

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  31. The Macroeconomics of Finance-Dominated Capitalism – and its Crisis. (2012). Hein, Eckhard.
    In: Books.
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  32. ‘Financialisation’ in Post-Keynesian Models of Distribution and Growth: A Systematic Review. (2010). Hein, Eckhard ; van Treeck, Till.
    In: Chapters.
    RePEc:elg:eechap:12814_13.

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  33. SHAREHOLDER VALUE ORIENTATION, DISTRIBUTION AND GROWTH—SHORT‐ AND MEDIUM‐RUN EFFECTS IN A KALECKIAN MODEL. (2010). Hein, Eckhard.
    In: Metroeconomica.
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  34. Interest rates, distribution and capital accumulation: A Post-Kaleckian perspective on the US and Germany. (2009). Schoder, Christian ; Hein, Eckhard.
    In: IPE Working Papers.
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  35. Explaining persistent cycles in a short-run context: firms’ propensity to invest and omnipotent shareholders. (2009). charles, sebastien.
    In: MPRA Paper.
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    In: IMK Studies.
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  37. Shareholder value orientation, distribution and growth - short- and medium-run effects in a Kaleckian model. (2008). Hein, Eckhard.
    In: Department of Economics Working Paper Series.
    RePEc:wiw:wus005:930.

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  38. Financialization in Kaleckian economies with and without labor constraints. (2008). Skott, Peter ; Ryoo, Soon.
    In: UMASS Amherst Economics Working Papers.
    RePEc:ums:papers:2008-05.

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  39. Teaching Minskys financial instability hypothesis: a manageable suggestion. (2008). charles, sebastien.
    In: Journal of Post Keynesian Economics.
    RePEc:mes:postke:v:31:y:2008:i:1:p:125-138.

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  40. Financialisation in Post-Keynesian models of distribution and growth - a systematic review. (2008). van Treeck, Till ; Hein, Eckhard.
    In: IMK Working Paper.
    RePEc:imk:wpaper:10-2008.

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  41. MICRO EMPIRICAL RESULTS OF A KALECKIAN‐TYPE CAPITAL ACCUMULATION MODEL COMPARED WITH MACRO RESULTS FOR SOME EUROPEAN ECONOMIES. (2008). Gander, James P..
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    RePEc:bla:metroe:v:59:y:2008:i:2:p:160-172.

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  42. Financialization and Capital Accumulation in the Non-Financial Corporate Sector. (2007). Orhangazi, Ozgur.
    In: Working Papers.
    RePEc:uma:periwp:wp149.

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  43. Financialization and Capital Accumulation in the Nonfinancial Corporate Sector: A Theoretical and Empirical Investigation on the US Economy, 1973-2004. (2007). Orhangazi, Ozgur.
    In: MPRA Paper.
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  44. Why exporters can be financially constrained in a recently liberalised economy? A puzzle based on Argentinean firms during the 1990s. (2006). Espanol, Paula.
    In: Proceedings of the German Development Economics Conference, Berlin 2006.
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  45. Biting the hand that fed it: Did the stock market boom of the late 1990s impede investment in manufacturing?. (2005). Weller, Christian ; Helppie, Brooke .
    In: Journal of Economics and Finance.
    RePEc:spr:jecfin:v:29:y:2005:i:3:p:359-381.

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  46. Reputation and Credit without Collateral in Africa`s Formal Banking. (2005). Nkurunziza, Janvier D..
    In: Economics Series Working Papers.
    RePEc:oxf:wpaper:wps/2005-02.

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  47. The Effect of Credit on Growth and Convergence of Firms in Kenyan Manufacturing. (2005). Nkurunziza, Janvier D..
    In: Economics Series Working Papers.
    RePEc:oxf:wpaper:wps/2005-01.

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  48. Investment, Q and Liquidity / Investitionen, Q und Liquidität: Evidence for Germany Using Firm Level Balance Sheet Data / Empirische Ergebnisse auf Basis von Unternehmensdaten. (2005). Behr, Andreas.
    In: Journal of Economics and Statistics (Jahrbuecher fuer Nationaloekonomie und Statistik).
    RePEc:jns:jbstat:v:225:y:2005:i:1:p:2-21.

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  49. Regimes of Interest Rates, Income Shares, Savings and Investment: A Kaleckian Model and Empirical Estimations for some Advanced OECD Economies. (2003). Ochsen, Carsten ; Hein, Eckhard.
    In: Metroeconomica.
    RePEc:bla:metroe:v:54:y:2003:i:4:p:404-433.

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  50. Kaleckian Models of Growth in a Stock-Flow Monetary Framework: A Neo-Kaldorian Model. (2000). Lavoie, Marc ; Godley, Wynne .
    In: Macroeconomics.
    RePEc:wpa:wuwpma:0004049.

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  51. Kaleckian Models of Growth in a Stock-Flow Monetary Framework: A Neo-Kaldorian Model. (2000). Lavoie, Marc ; Godley, Wynne .
    In: Economics Working Paper Archive.
    RePEc:lev:wrkpap:wp_302.

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  52. Neither Parasite nor Paragon: Are Business Groups a Source of Competitive Power?. (). Doruk, Omer Tusal.
    In: Prague Economic Papers.
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References

References cited by this document

  1. Crotty James R., 1993. Transforming the U.S. Financial System: Equity and Efficiency for the 21st Century
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  2. Fazzari Steven M., 1993. Transforming the U.S. Financial System: Equity and Efficiency for the 21st Century
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  3. Kalecki Michal, 1971. Selected Essays on the Dynamics of the Capitalist Economy 1933-1970
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