Publication: La hegemonía del capital financiero en la economía mundial: 1973-2023
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Vilariño Sanz, Ángel
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Universidad Pablo de Olavide
Abstract
El análisis pone en el centro la incertidumbre radical que afecta tanto a las inversiones que buscan beneficios en la producción de bienes y servicios como a las inversiones que buscan beneficios en la gestión de instrumentos financieros. En ambos mundos los riesgos, especialmente los riesgos sistémicos, se han materializado mediante profundas crisis, precedidas generalmente de burbujas de crédito alimentadas por los grandes bancos internacionales. Ante esto, la regulación y supervisión financiera se han mostrado incapaces de contener las crisis sistémicas. En el período analizado han existido profundas innovaciones tecnológicas y financieras que guardan una amplia relación con los riesgos sistémicos.
The analysis puts at the center the radical uncertainty that affects both investments that seek benefits in the production of goods and services and investments that seek benefits in the management of financial instruments. In both worlds, risks, especially systemic risks, have materialized through deep crises, generally preceded by credit bubbles fueled by large international banks. Given this, financial regulation and supervision have proven incapable of containing systemic crises. In the analyzed period there have been profound technological and financial innovations that have a broad relationship with systemic risks.
The analysis puts at the center the radical uncertainty that affects both investments that seek benefits in the production of goods and services and investments that seek benefits in the management of financial instruments. In both worlds, risks, especially systemic risks, have materialized through deep crises, generally preceded by credit bubbles fueled by large international banks. Given this, financial regulation and supervision have proven incapable of containing systemic crises. In the analyzed period there have been profound technological and financial innovations that have a broad relationship with systemic risks.
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REC Revista de economía crítica, ISSN-e 2013-5254, ISSN 1696-0866, Nº. 37, 2024 (Ejemplar dedicado a: Primer semestre 2024 - Una visión actualizada de la globalización), págs. 136-155




