<図書>
A theory of wealth distribution and accumulation
責任表示 | Mauro Baranzini |
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データ種別 | 図書 |
出版情報 | Oxford : Clarendon Press New York : Oxford University Press , 1991 |
本文言語 | 英語 |
大きさ | xxvi, 262 p. : ill. ; 25 cm |
概要 | This volume provides a general framework for a macroeconomic theory of income distribution and wealth distribution and accumulation. The book is divided into two parts. In the first the author surveys...the sets of literature on the subject and relates them to each other. In the second part he makes his own contribution by presenting a new model which uses both neo-classical and post-Keynesian analytical tools. The author focuses on the laws which regulate the behavior of individuals and social groups within a given institutional set-up, and in particular those which regulate the accumulation of inter-generational wealth and life-cycle savings of families or dynasties, both in a deterministic and stochastic context. The theoretical issue of savings accumulation is reconsidered, alongside income distribution, and profit determination by concentrating on the historical reasons that are at the basis of "class distinction," as well as "generation distinction," in modern economic analysis. 続きを見る |
所蔵情報
状態 | 巻次 | 所蔵場所 | 請求記号 | 刷年 | 文庫名称 | 資料番号 | コメント | 予約・取寄 | 複写申込 | 自動書庫 |
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中央図 3B | 331.85/B 21/1 | 1991 |
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068172191000365 |
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書誌詳細
一般注記 | Bibliography: p. [225]-248 Inclides indexes |
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著者標目 | *Baranzini, Mauro, 1944- |
件 名 | LCSH:Income distribution LCSH:Wealth LCSH:Saving and investment LCSH:Income distribution -- Mathematical models 全ての件名で検索 LCSH:Wealth -- Mathematical models 全ての件名で検索 LCSH:Saving and investment -- Mathematical models 全ての件名で検索 |
分 類 | LCC:HC79.I5 DC20:339.2/01/5118 |
書誌ID | 1000116020 |
ISBN | 0198233132 |
NCID | BA11691348 |
巻冊次 | ISBN:0198233132 ; PRICE:£27.50 |
登録日 | 2009.09.10 |
更新日 | 2009.09.10 |