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The financial market and government debt policy in France, 1746-1793.
- Source :
-
Journal of Economic History . Mar92, Vol. 52 Issue 1, p1. 39p. 4 Charts, 6 Graphs. - Publication Year :
- 1992
-
Abstract
- Offers a new quantitative history of the market for government debt in France from 1746-1793, before the Revolution. How the monarchy was a persistent default risk; The observable rules that default followed in targeting specific assets; How the financial market reflected on interest rates.
- Subjects :
- *EIGHTEENTH century
*HISTORY of finance
*PUBLIC debts
*HISTORY
FRENCH economy
Subjects
Details
- Language :
- English
- ISSN :
- 00220507
- Volume :
- 52
- Issue :
- 1
- Database :
- Academic Search Index
- Journal :
- Journal of Economic History
- Publication Type :
- Academic Journal
- Accession number :
- 9204060858
- Full Text :
- https://doi.org/10.1017/S002205070001024X