Genesis of the 2008 global financial crisis and challenges to the neoclassical paradigm of finance

Authors

  • Adam Szyszka

DOI:

https://doi.org/10.18559/ebr.2011.1.866

Keywords:

Financial crisis, Financial markets, World economy, Kryzys finansowy, Rynki finansowe, Gospodarka światowa

Abstract

The paper presents the genesis of 2008 global financial crisis, discusses systemic changes in the financial world, and rises the question about the need for the new paradigm of finance in the lieu of the witnessed turbulent processes. A hypothesis is formulated that the neoclassical theory of finance lost its credibility due to systemic changes that have happened within institutions, markets, and instruments over the last three decades. It is suggested that the theory should be modified in line with dynamically changing financial environment. Conclusion is reached that an interdisciplinary approach is needed in the search for an adequate theory of finance. (original abstract)

Downloads

Download data is not yet available.

Downloads

Published

2011-03-30

Issue

Section

Research article- regular issue

How to Cite

Szyszka, A. (2011). Genesis of the 2008 global financial crisis and challenges to the neoclassical paradigm of finance. Economics and Business Review, 11(1), 64-72. https://doi.org/10.18559/ebr.2011.1.866

Similar Articles

1-10 of 203

You may also start an advanced similarity search for this article.