Aspects of a Post Keynesian Theory of Finance
- 1 September 1998
- journal article
- research article
- Published by Taylor & Francis Ltd in Journal of Post Keynesian Economics
- Vol. 21 (1), 111-133
- https://doi.org/10.1080/01603477.1998.11490182
Abstract
(1998). Aspects of a Post Keynesian Theory of Finance. Journal of Post Keynesian Economics: Vol. 21, No. 1, pp. 111-133.This publication has 4 references indexed in Scilit:
- Is Probability Theory Relevant for Uncertainty? A Post Keynesian PerspectiveJournal of Economic Perspectives, 1991
- Rational Expectations: A Fallacious Foundation for Studying Crucial Decision-Making ProcessesJournal of Post Keynesian Economics, 1982
- A Treatise on ProbabilityPublished by Springer Science and Business Media LLC ,1973
- Liquidity Preference as Behavior Towards RiskThe Review of Economic Studies, 1958