Abstract
The purpose of this chapter is to show, by using data on France and Germany in the 1970s, how to apply a quantitative method for examining the causes of stagflation.
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References
Conseil National du Crédit, Trente-quatrième Rapport Annuel (Paris, 1979).
Institut National de la Statistique et des Etudes Economiques (INSEE), Les Collections de VInséé, Série C, ‘Rapports sur les Comptes de la Nation’, vol. 1,2 and 3, (Paris, 1971–9).
Marczewski J., Inflation and Unemployment in France, A Quantitative Analysis (New York: Praeger, 1978) (1978a).
Marczewski J., ‘Inflation, Redistribution of Factors and Unemployment: Illustrated by the Case of France’, The Review of Income and Wealth, series 24, number 3, 1978, pp. 283–312 (1978b).
Marczewski J., Vaincre l’inflation et le chômage, (Paris: Economica, 1978) (1978c).
Marczewski J., Politique monétaire et financière du Illème Reich (Paris: Sirey, 1941).
Organisation for Economic Cooperation and Development, Allemagne (Paris: OECD, 1980).
Statistisches Bundesamt (SB), Volkswirtschaftliche Gesamtrechnungen, Fachserie 18, Reihe 1, Wiesbaden (1978 and 1979).
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© 1982 Charles P. Kindleberger and Guido di Tella
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Marczewski, J. (1982). A Comparative Analysis of Stagflation in France and Germany, 1971–9. In: Kindleberger, C.P., di Tella, G. (eds) Economics in the Long View. Palgrave Macmillan, London. https://doi.org/10.1007/978-1-349-06293-5_8
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DOI: https://doi.org/10.1007/978-1-349-06293-5_8
Publisher Name: Palgrave Macmillan, London
Print ISBN: 978-1-349-06295-9
Online ISBN: 978-1-349-06293-5
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