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Income distribution and debts in a fragile economy: market processes and macro constraints
Authors:Piero?Ferri  author-information"  >  author-information__contact u-icon-before"  >  mailto:pietro-enrico.ferri@unibg.it"   title="  pietro-enrico.ferri@unibg.it"   itemprop="  email"   data-track="  click"   data-track-action="  Email author"   data-track-label="  "  >Email author
Affiliation:1.Department of Economics “Hyman Minsky”,University of Bergamo,Bergamo,Italy
Abstract:The purpose of the paper is to study fluctuations in a fragile economy, where the role of debt and income distribution is considered. It is based upon a macro approach that emphasizes interactions between market processes and macro constraints within an uncertain environment. By utilizing a regime switching approach, where behavioural functions change when a threshold is violated, robust dynamics can be generated. The model can mimic some aspects of the present evolution of the world economy by means of simulations.
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