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A Neo-Polanyian Theory of Economic Crises

机译:新波兰经济危机理论

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This article seeks to use Karl Polanyi's book, The Great Transformation, first published in 1944, to understand the global financial crisis that began in 2008. Polanyi's basic premise was that a great crisis must result from powerful causes. He argued that the crisis of the 1930s was a consequence of three distinct processes: deep imbalances in the global trading system, a crisis within the global financial mechanism that was supposed to manage those imbalances, and a failure of adaptation in the world's leading economy, the United States. The same processes can be seen at work in the last decade.
机译:本文旨在利用卡尔·波兰尼(Karl Polanyi)于1944年首次出版的《大转型》一书来理解始于2008年的全球金融危机。波兰尼的基本前提是,重大危机必须由强大的原因造成。他辩称,1930年代的危机是三个不同过程的结果:全球贸易体系中的严重失衡,应该处理这些失衡的全球金融机制中的危机以及世界领先经济体的适应性失败,美国。在过去十年中,可以看到相同的过程。

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