Revisión bibliográfica integradora de la hipótesis de fragilidad financiera propuesta por Minsky

Palabras clave: Minsky - Fragilidad financiera - Sector público - Revista integradora

Resumen

Este artículo realiza una Revisión Integradora de la Literatura sobre la Hipótesis de la Fragilidad Financiera presentada por Minsky y sobre la Fragilidad Financiera Aplicada al Sector Público. Se seleccionaron 20 trabajos que abordaron el tema propuesto tanto en procedimientos cuantitativos como cualitativos. Los temas abordados fueron las formas de medir la fragilidad financiera, los efectos sobre la política fiscal y la necesidad de regulación, las relaciones entre la inversión, las expectativas de flujo de caja, la influencia de las tasas de interés y el endeudamiento en las empresas y la inestabilidad financiera. La integración reforzó los aspectos conceptuales y las proposiciones presentadas por Minsky, ampliando de forma integrada la comprensión de sus postulados teóricos sobre la fragilidad financiera, abordando en cuanto a las causas, observaciones y consecuencias económicas e institucionales, además de señalar las insuficiencias de estudios más empíricos y para el sector público.

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Citas

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Publicado
2023-12-04
Cómo citar
Caríssimo, C. (2023). Revisión bibliográfica integradora de la hipótesis de fragilidad financiera propuesta por Minsky. A Economia Em Revista - AERE, 31(1). https://doi.org/10.4025/econrev.v31i1.67434