10. Η Κρίση του 2008 και σύγχρονες εξελίξεις

*Dow S., 2017, “Central banking in the twenty-first century.” Cambridge Journal of Economics, 41 (6), pp. 1539-1557.

*Gennaioli, Nicola, Andrei Shleifer, and Robert Vishny. 2015. "Neglected Risks: The Psychology of Financial Crises." American Economic Review, 105 (5): 310-14

*Samuel G. Hanson, Anil K Kashyap, and Jeremy C. Stein, 2011, “A Macroprudential Approach to Financial Regulation”, Journal of Economic Perspectives, 25 (1). pages 3–28

Nicola Gennaioli; Andrei Shleifer, 2018, A crisis of beliefs: investor psychology and financial fragility, Princeton: Princeton University Press.

Donald A. MacKenzie, 2008, An engine, not a camera: how financial models shape markets, Mass: MIT Press.

Ben Bernanke, 2015, The courage to act: a memoir of a crisis and its aftermath, W. W. Norton & Company.

Charles A.E. Goodhart; Haizhou Huang, 2005, The lender of last resort, Journal of Banking & Finance, Volume 29, Issue 5, May 2005, Pages 1059-1082

Charles A.E. Goodhart and Rosa M. Lastra, 2023, Lender of Last Resort and Moral Hazard, LSE: memeo.

Victoria Chick, 2013, “The Current Banking Crisis in the UK: An Evolutionary View”, in Jocelyn Pixley and G.C. Harcourt, (ed.), Financial crises and the nature of capitalist money. Mutual developments from the work of Goeffrey Ingham, London: Palgrave Macmillan

Victoria Chick, 2008, “Could the crisis at Northern Rock have been predicted? An Evolutionary Approach”, Contributions to Political Economy, 27, 115-124

Charles Goodhart, Daniela Gabor, Jakob Vestergaard, Ismail Ertürk (ed.), 2014, Central Banking at a Crossroads: Europe and Beyond, Anthem Frontiers of Global Political Economy, Anthem Press

Michael D. Bordo; William Roberds, (ed.) 2013, The origins, history, and future of the Federal Reserve: a return to Jekyll Island, Cambridge: Cambridge University Press.

Joseph E. Stiglitz, 2011, “Rethinking Macroeconomics: What Went Wrong and How to Fix It”, Global Policy, Volume2, Issue 2, σελ. 165-175