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Content
April 2024, Volume 31, Issue 1
- 1-35 Investor reactions to legislative liberalization and the run-up in British share prices, 1844 to 1845
by Atta-Darkua, Vaska & Bruner, Robert F. & Miller, Scott C.
- 36-66 Media tone and trading activity on the Sydney Stock Exchange 1901–1950
by Fleming, Grant & Liu, Zhangxin (Frank) & Merrett, David & Ville, Simon
- 67-93 Mutual marine insurance during the Industrial Revolution era
by Solar, Peter M.
- 94-122 Central bank digital currencies: an old tale with a new chapter
by Bordo, Michael D. & Roberds, William
December 2023, Volume 30, Issue 3
- 277-307 1930: first modern crisis
by Gorton, Gary & Laarits, Toomas & Muir, Tyler
- 308-329 Public debt as private liquidity: the Poincaré experience (1926–1929)
by Espic, Aurélien
- 330-354 Credit networks and business dynamics in a viceregal capital: Santafé de Bogotá in the age of Charles III
by Granados, Oscar M. & Torres, James V.
- 355-379 Liquidating government debt and creating a secondary asset market: trading patterns, market behavior and prices on government liabilities in Sweden, c. 1719–1765
by Ericsson, Peter & Winton, Patrik
August 2023, Volume 30, Issue 2
April 2023, Volume 30, Issue 1
- 1-28 The consolidation of public banking in Spain: from the 1970s crisis to the 2008 crisis
by Blasco-Martel, Yolanda & Cuevas, Joaquim & Riera-Prunera, Maria Carme
- 29-50 Monthly credit from and deposits in Swedish commercial banks, 1875-2020
by Ahnland, Lars
- 51-73 Central banks’ interventions in exchange rate markets during the international gold standard: Italy 1880–1913
by Di Martino, Paolo
- 74-99 Pre-welfare state provision and adverse selection: enrolment in a Swedish nationwide health insurance society
by Andersson, Lars Fredrik & Eriksson, Liselotte & Lilljegren, Josef
- 100-123 ‘Propitious contrast’: Romanian borrowing in a Balkan mirror, 1878–1913
by Maerean, Andreea-Alexandra & Pedersen, Maja & Sharp, Paul
December 2022, Volume 29, Issue 3
- 271-286 Stock exchange price currents, financial information and market transparency: an introduction
by Jonker, Joost & Riva, Angelo
- 287-309 Prices: sources, problems, solutions
by Solar, Peter M.
- 310-325 De-coding the image of the firm: secret reserves and internal financing in the German chemical industry, c. 1890–1916
by Steinfeld, Frederic
- 326-341 Helsinki Stock Exchange: trading and listed securities, 1912–1981
by Vaihekoski, Mika
- 342-357 Stock exchange regulation and the official price lists of the stock exchanges of Brussels and Antwerp, 1801–1935
by Poukens, Johan & Buelens, Frans
- 358-375 Market access and transparency: the Genoa and Milan stock exchanges from Italian Unification to World War I
by Riva, Angelo
- 376-391 From free-for-all to self-governing monopoly: market organization and price information at the Amsterdam Stock Exchange, 1796–1940
by de Jong, Abe & Jonker, Joost & Poukens, Johan
August 2022, Volume 29, Issue 2
- 121-151 Going Dutch: monetary policy in the Netherlands during the interwar gold standard, 1925–1936
by Fliers, Philip T. & Colvin, Christopher L.
- 152-197 The limits of control: corporate ownership and control of German joint-stock firms, 1869–1945
by Lehmann-Hasemeyer, Sibylle & Neumayer, Andreas
- 198-218 Health and safety regulations and stock returns: evidence from the 1974 Swedish legislative lottery
by Siming, Linus
- 219-246 Securities trading in an emerging market: Indonesia, 1890s–1940s
by van der Eng, Pierre
- 247-270 Banking crises, banking mortality and the structuring of the banking market in Switzerland, 1850–2000
by Giddey, Thibaud & Mazbouri, Malik
April 2022, Volume 29, Issue 1
December 2021, Volume 28, Issue 3
- 281-299 The road to the 1980s write-downs of sovereign debt
by Truman, Edwin M.
- 300-318 Pandemic recession and helicopter money: Venice, 1629–1631
by Masciandaro, Donato & Goodhart, Charles & Ugolini, Stefano
- 319-343 The role of pawnshops in risk coping in early twentieth-century Japan
by Inoue, Tatsuki
- 344-363 Resource endowments and the problem of small change: insights from two American mints, 1600–1700
by Knodell, Jane E. & Vizcarra, Catalina M.
- 364-382 Silver coins, wooden tallies and parchment rolls in Henry III's Exchequer
by Cassidy, Richard
August 2021, Volume 28, Issue 2
- 153-174 The historical dynamics of US financial exchanges
by Jørgensen, Bjørn N. & Kavajecz, Kenneth A. & Swisher, Scott N.
- 175-204 International banking and financial fragility: the role of regulation in Brazil and Mexico, 1967–1982
by Alvarez, Sebastian
- 205-236 Friends or foes? Brazil, the IMF and the World Bank, 1961–1967
by Altamura, Carlo Edoardo & Kedar, Claudia
- 237-258 Effects of credit restrictions in the Netherlands on credit growth and inflation
by Galati, Gabriele & Kakes, Jan & Moessner, Richhild
- 259-280 The French bonds: the little-known bidding war for France's holdings in American debt, 1786–1790
by Veru, Peter Theodore
April 2021, Volume 28, Issue 1
- 1-25 Keynes's trading on Wall Street: did he follow the same behaviour when investing for himself and for King's?
by Sanfilippo, Eleonora
- 26-44 Performance and development of a thin stock market: the Stockholm Stock Exchange 1912–2017
by Rydqvist, Kristian & Guo, Rong
- 45-66 A reappraisal of Joseph Brennan and the achievements of Irish banking and currency policy 1922–1943
by Drea, Eoin & Barry, Frank
- 67-95 A perfect symbiosis: Curaçao, the Netherlands and financial offshore services, 1951–2013
by van Beurden, Tijn & Jonker, Joost
- 96-123 Origins of arbitrage
by Poitras, Geoffrey
- 124-151 The foreign exchange market in Barcelona at the beginning of the fifteenth century
by Orlandi, Angela & Toscano, Giacomo
December 2020, Volume 27, Issue 3
- 283-302 Finance, financiers and financial centres: a special issue in honour of Youssef Cassis Introduction
by Altamura, Carlo Edoardo & Daunton, Martin
- 303-318 Networks and financial war: the brothers Warburg in the first age of globalization
by James, Harold
- 319-339 Explaining Latin America's persistent defaults: an analysis of the debtor–creditor relations in London, 1822–1914
by Flores Zendejas, Juan
- 340-360 Woe to the vanquished? State, ‘foreign’ banking and financial development in Southern Italy in the nineteenth century
by Chiaruttini, Maria Stella
- 361-375 From exceptional to normal: changes in the structure of US banking since 1920
by Sylla, Richard
- 376-396 From gentlemanly capitalism to lobbying capitalism: the City and the EEC, 1972–1992
by Drach, Alexis
- 397-417 Regulatory foundations of financialisation: May Day, Big Bang and international banking, 1975–1990
by Schenk, Catherine R.
- 418-435 Before the ‘locomotive’ runs: the impact of the 1973–1974 oil shock on Japan and the international financial system
by Yago, Kazuhiko
- 436-448 IRI: financial intermediary or entrepreneurial state?
by Amatori, Franco
August 2020, Volume 27, Issue 2
- 139-159 Seven transformative crises from European revolution to corona: globalization and state capacity
by James, Harold
- 161-186 Was a sudden stop at the origin of German hyperinflation?
by Seghezza, Elena & Morelli, Pierluigi
- 187-209 Keynes, inflation and the public debt: How to Pay for the War as a policy prescription for financial repression?
by Teupe, Sebastian
- 210-233 Supervisors against regulation? The Basel Committee and country risk before the International Debt Crisis (1976–1982)
by Drach, Alexis
- 234-255 The rise of financial accountability in British joint stock banks: 1825 to 1845
by Game, Chantal S. & Cullen, Lisa M. & Brown, Alistair M.
- 256-282 Surge, retraction and prices: the performance of fiat coins in Sweden, c. 1715–1720
by Ericsson, Peter & Winton, Patrik
April 2020, Volume 27, Issue 1
- 1-15 Origins of too-big-to-fail policy in the United States
by Nurisso, George C. & Prescott, Edward Simpson
- 17-44 The origins of the Asia dollar market 1968–1986: regulatory competition and complementarity in Singapore and Hong Kong
by Schenk, Catherine R.
- 45-72 Reparations revisited: the role of economic advisers in reforming German central banking and public finance
by Yee, Robert
- 73-94 The role of a creditor in the making of a debt crisis: the French government's financial support for Poland, between cold war interests and economic constraints, 1958-1981
by Mourlon-Druol, Emmanuel
- 95-114 Tracking the growth of government securities investing in early modern England and Wales
by Shammas, Carole
- 115-138 Multi-currency regime and markets in early nineteenth-century Finland
by Voutilainen, Miikka & Turunen, Riina & Ojala, Jari
December 2019, Volume 26, Issue 3
- 247-266 The trade-offs between macroeconomics, political economy and international relations
by Bordo, Michael & James, Harold
- 267-293 Law and finance in Britain c.1900
by Coyle, Christopher & Musacchio, Aldo & Turner, John D.
- 295-320 Stock market co-movement, domestic economic policy and the macroeconomic trilemma: the case of the UK (1922–2016)
by Forero-Laverde, German
- 321-358 Catering and dividend policy: evidence from the Netherlands over the twentieth century
by de Jong, Abe & Fliers, Philip & van Beusichem, Henry
- 359-388 Peer-to-peer lending in pre-industrial France
by Dermineur, Elise M.
- 389-399 A re-examination of the empirical evidence concerning colonial Virginia's paper money, 1755-1774: a comment on Grubb
by Michener, Ronald
- 401-408 Colonial Virginia's paper money, 1755–1774: a reply to Michener
by Grubb, Farley
August 2019, Volume 26, Issue 2
- 109-126 Alternative finance: a historical perspective
by Chambers, David & Saleuddin, Rasheed & Mcmahon, Craig
- 127-145 International credit market integration in northwestern Europe in the 1670s
by Li, Ling-Fan
- 147-170 The ‘untimely’ demise of a successful institution: the Italian Monti di pietà in the nineteenth century
by Carboni, Mauro & Fornasari, Massimo
- 171-195 Credit without banks: the Amsterdam water bailiff's ledger of 1856
by Verwaaij, Daan & van Bochove, Christiaan
- 197-222 ‘We can't pay’: how Italy dealt with war debts after World War I
by Astore, Marianna & Fratianni, Michele
- 223-246 ‘Putting Mexico on its feet again’: the Kemmerer mission in Mexico, 1917–1931
by Nodari, Gianandrea
April 2019, Volume 26, Issue 1
- 1-19 Institutional equity investing in Britain from 1900 to 2000
by Morecroft, Nigel & Turnbull, Craig
- 21-42 Testing the interest-parity condition with Irving Fisher's example of Indian rupee and sterling bonds in the London financial market, 1869–1906
by Herger, Nils
- 43-62 Outside lending in the New York City call loan market: evidence from the Panic of 1907
by Moen, Jon & Tallman, Ellis
- 63-80 Credit, confidence and the circulation of Exchequer bills in the early financial revolution
by Graham, Aaron
- 81-108 Names, shares and mortgages: the formalisation of Swedish commercial bank lending, 1870–1938
by Broberg, Oskar & Ögren, Anders
December 2018, Volume 25, Issue 3
August 2018, Volume 25, Issue 2
- 113-140 Colonial Virginia's paper money, 1755–1774: value decomposition and performance
by Grubb, Farley
- 141-159 US inflation and inflation uncertainty over 200 years
by Bredin, Don & Fountas, Stilianos
- 161-182 The origins of Swiss wealth management? Genevan private banking, 1800–1840
by Ugolini, Stefano
- 183-201 Stock exchange competition: the case of Geneva during the interwar period
by Oosterlinck, Kim & Pirotte, Hugues
- 203-230 The Bank of France's balance sheets database, 1840–1998: an introduction to 158 years of central banking
by Baubeau, Patrice
April 2018, Volume 25, Issue 1
- 1-18 Introduction: maximising revenues, minimising political costs – challenges in the history of public finance of the early modern period
by 't Hart, Marjolein & Brandon, Pepijn & Sánchez, Rafael Torres
- 19-41 ‘The whole art of war is reduced to money’: remittances, short-term credit and financial intermediation in Anglo-Dutch military finance, 1688–1713
by Brandon, Pepijn
- 43-70 ‘The most difficult financial matter that has ever presented itself’: paper money and the financing of warfare under Louis XIV
by Félix, Joël
- 71-96 Austerity in times of war: government finance in early nineteenth-century China
by Kaske, Elisabeth
- 97-112 The costs and benefits of mercantilist warfare
by O'Brien, Patrick Karl
December 2017, Volume 24, Issue 3
- 209-238 Keynes and the dollar in 1933: the gold-buying program and exchange rate gyrations
by Edwards, Sebastian
- 239-264 Financial crises at insurance companies: learning from the demise of the National Surety Company during the Great Depression
by Rose, Jonathan D.
- 265-282 Bank networks and suspensions in the 1893 panic: evidence from the state banks and their correspondents in Kansas
by Dupont, Brandon
- 283-306 Financial development and prehistoric geographical isolation: global evidence
by Kodila-Tedika, Oasis & Asongu, Simplice A. & Cinyabuguma, Matthias & Tchamyou, Vanessa S.
- 307-329 175 years of financial risks and returns in central banking: Danmarks Nationalbank, 1839–2014
by Abildgren, Kim
- 331-356 Historical reasons for the focus on broad monetary aggregates in post-World War II Britain and the ‘Seven Years War’ with the IMF
by Goodhart, Charles A. E. & Needham, Duncan J.
August 2017, Volume 24, Issue 2
April 2017, Volume 24, Issue 1
- 1-2 Introduction to the special issue on the financial and monetary history of South-East Europe
by Burhop, Carsten & Jobst, Clemens
- 3-21 A century of monetary reform in South-East Europe: from political autonomy to the gold standard, 1815–1910
by Morys, Matthias
- 23-52 The Hungarian risk: the premium on Hungarian state bonds, 1881–1914
by Pammer, Michael
- 53-81 Land ownership, tax farming and the social structure of local credit markets in the Ottoman Balkans, 1685–1855
by Kokdas, Irfan
- 83-102 Parish banking in informal credit markets: the business of private lending in early nineteenth-century Sweden
by Lindgren, Håkan
- 103-119 A subject of interest: usurers on trial in early nineteenth-century France
by Vause, Erika
December 2016, Volume 23, Issue 3
August 2016, Volume 23, Issue 2
- 133-163 Colonial New Jersey's provincial fiscal structure, 1704–1775: spending obligations, revenue sources, and tax burdens during peace and war
by Grubb, Farley
- 165-192 Stock volatility, return jumps and uncertainty shocks during the Great Depression
by Mathy, Gabriel P.
- 193-217 The timing of the popping: using the log-periodic power law model to predict the bursting of bubbles on financial markets
by Gustavsson, Marcus & Levén, Daniel & Sjögren, Hans
- 219-243 Insurance models and climate risk assessments in a historical context
by Andersson, Lars Fredrik & H. Keskitalo, E. Carina
- 245-271 The openness of the London Goldsmiths’ Company in the second half of the seventeenth century: an empirical study
by Schwarzberg, Raphaelle
- 273-274 Ali Kabiri , The Great Crash of 1929: A Reconciliation of Theory and Evidence, Palgrave Studies in the History of Finance (Basingstoke: Palgrave Macmillan, 2014, 256 pp. ISBN 9781137372888 hardcover and ebook)
by Buelens, Frans
- 275-276 Pedro Tedde , El Banco de España y el Estado liberal (1847–1874) (Madrid: Gadir Editorial and Banco de España, 2015, 750 pp. ISBN 9788494363276 hardcover)
by Artola Blanco, Miguel
April 2016, Volume 23, Issue 1
- 1-20 How to stabilize the banking system: lessons from the pre-1914 London money market
by Sissoko, Carolyn
- 21-46 The original Operation Twist: the War Finance Corporation's war bond purchases, 1918–1920
by Butkiewicz, James L. & Solcan, Mihaela
- 47-70 The British attempt to manage long-term interest rates in 1962–1964
by Allen, William A.
- 71-109 Capitalising on the Irish land question: land reform and state banking in Ireland, 1891–1938
by Foley-Fisher, Nathan & McLaughlin, Eoin
- 111-132 Savings banks and working-class saving during the Swedish industrialisation
by Lilja, Kristina & Bäcklund, Dan
December 2015, Volume 22, Issue 3
August 2015, Volume 22, Issue 2
- 133-156 From Basel to bailouts: forty years of international attempts to bolster bank safety
by Kobrak, Christopher & Troege, Michael
- 157-177 War, monetary reforms and the Belgian art market, 1945–1951
by David, Géraldine & Oosterlinck, Kim
- 179-203 ‘A new species of mony’: British Exchequer bills, 1701-1711
by Kleer, Richard A.
- 205-233 Put-call parity, the triple contract, and approaches to usury in medieval contracting
by Wilson, Arthur J. & Kim, Geetae
- 235-246 Competition and credit control: some personal reflections
by Goodhart, Charles A. E.
- 247-249 Peter Borscheid and Niels Viggo Haueter (eds.), World Insurance: The Evolution of a Global Risk Network (Oxford: Oxford University Press, 2012, 729 pp., £95)
by Leonard, Adrian
- 249-252 Alessandro Roselli , Money and Trade Wars in Interwar Europe (Basingstoke and New York: Palgrave Macmillan, 2014, pp. 280. ISBN: 978-1-137-32699-7. Hardcover and Ebook)
by Clement, Piet
- 252-254 South-Eastern European Monetary and Economic Statistics from the Nineteenth Century to World War II (Athens, Sofia, Bucharest and Vienna: Bank of Greece, Bulgarian National Bank, National Bank of Romania and Oesterreichische Nationalbank, 2014, 405 pp.)
by Maes, Ivo
- 255-257 Hans van Wees , Ships, Silver, Taxes and Tribute: A Fiscal History of Archaic Athens (London and New York: I. B. Tauris, 2014, x + 213 pp., £58, ISBN 978-1-78076-686-7)
by Peacock, Mark
April 2015, Volume 22, Issue 1
- 1-18 Identifying economic crises: insights from history
by De Scheemaekere, Xavier & Oosterlinck, Kim & Szafarz, Ariane
- 19-44 ‘Writes a fair hand and appears to be well qualified’: the recruitment of Bank of England clerks, 1800–1815
by Murphy, Anne L.
- 45-78 Capitalizing patriotism: the Liberty loans of World War I
by Kang, Sung Won & Rockoff, Hugh
- 79-105 The Mexican debt crisis redux: international interbank markets and financial crisis, 1977–1982
by Alvarez, Sebastian
- 107-132 Real estate transactions in ancient Israel: excavating embedded options utilizing modern finance
by Prisman, Eliezer Z.
December 2014, Volume 21, Issue 3
August 2014, Volume 21, Issue 2
- 111-137 Big Bang in the City of London: an intentional revolution or an accident?
by Bellringer, Christopher & Michie, Ranald
- 139-163 Was the Gibson Paradox for real? A Wicksellian study of the relationship between interest rates and prices
by Chadha, Jagjit S. & Perlman, Morris
- 165-190 The winding-up of the Ayr Bank, 1772–1827
by Kosmetatos, Paul
- 191-212 Mortgages for machinery: credit and industrial investment in pre-World War I Brazil
by Cortes, Gustavo S. & Marcondes, Renato L. & Diaz, Maria Dolores M.
- 213-215 Kazuhiko Yago, The Financial History of the Bank for International Settlements, Routledge Studies in the Modern World Economy (London: Routledge, 2013, 240 pp.; ISBN 978-0-415-63524-0)
by Bonin, Hubert
- 215-218 Peter Temin and Hans-Joachim Voth, Prometheus Shackled: Goldsmith Banks and England's Financial Revolution after 1700 (Oxford: Oxford University Press, 2013, 224 pp., ISBN 978-0-19-994427-9, £25.99)
by Graham, Aaron
- 218-220 Bonin Hubert: French Banks and the Greek ‘Niche Market’ mid-1880s–1950s (Geneva: Librairie Droz, 2013)
by Schonarl, Korinna
- 220-223 Shizuya Nishimura, Toshio Suzuki and Ranald C. Michie, The Origins of International Banking in Asia: The Nineteenth and Twentieth Centuries (Oxford: Oxford University Press, 2012, 264 pp., ISBN 978-0-19-964632-6)
by Schiltz, Michael
April 2014, Volume 21, Issue 1
- 5-24 Informal rural credit markets and interlinked transactions in the district of late Ottoman Haifa, 1890–1915
by Ecchia, Stefania
- 25-57 An anatomy of financial crises in Norway, 1830–2010
by Grytten, Ola Honningdal & Hunnes, Arngrim
- 59-76 The Bank of England, Montagu Norman and the internationalisation of Anglo-Irish monetary relations, 1922–1943
by Drea, Eoin
- 77-101 Variation in organizational form across lines of property insurance: Sweden, 1913–1939
by Lilljegren, Josef & Andersson, Lars Fredrik
- 103-106 Christopher Adolph, Bankers, Bureaucrats, and Central Bank Politics: The Myth of Neutrality (Cambridge: Cambridge University Press, 2013, 357 pp., $99.00, ISBN 978-1-107-03261-3)
by Wendschlag, Mikael
- 106-108 Emmanuel Mourlon-Druol, A Europe Made of Money: The Emergence of the European Monetary System (Ithaca, NY: Cornell University Press, 2012, viii + 359 pp., ISBN 978-0-8014-5083-9)
by Maes, Ivo
- 108-110 Benn Steil, The Battle of Bretton Woods: John Maynard Keynes, Harry Dexter White, and the Making of a New World Order (Princeton: Princeton University Press, 2013, 480 pp., $29.95/£19.95, ISBN 978-0691-14909-7)
by Missiaia, Anna
December 2013, Volume 20, Issue 3
- 237-257 Understanding rating addiction: US courts and the origins of rating agencies' regulatory license (1900–1940)
by Flandreau, Marc & Sławatyniec, Joanna Kinga
- 259-277 Learning by doing: the failure of the 1697 Malt Lottery Loan
by Gallais-Hamonno, Georges & Rietsch, Christian
- 279-303 Price manipulation at the NYSE and the 1899 battle for Brooklyn Rapid Transit shares
by Kruse, Timothy A. & Todd, Steven K.
- 305-333 Imperfect but true competition: innovation and profitability in Portuguese banking during the golden age (1950–1973)
by Amaral, Luciano
- 335-359 The seasonal demand for multiple monies in Manchuria: re-examining Zhang Zuolin's government's economic policy during the 1920s
by Kaminishi, Miriam
- 360-362 Alessandro Stanziani, Rules of Exchange: French Capitalism in Comparative Perspective, Eighteenth to Early Twentieth Centuries (Cambridge: Cambridge University Press, 2012, ix + 313 pp., £52.25, ISBN 978-1-107-00386-6)
by Baubeau, Patrice
August 2013, Volume 20, Issue 2
- 111-135 Financial intermediation and late development in Meiji Japan, 1868 to 1912
by Tang, John
- 137-162 Registration and credit in seventeenth-century England
by Ito, Seiichiro
- 163-182 Malmö diskont 1817: an institutional analysis of a banking crisis
by Kärrlander, Tom
- 183-208 Savings bank depositors in a crisis: Glasgow 1847 and 1857
by Ross, Duncan
- 209-229 ‘Unwept, unhonoured and unsung’: Britain's import surcharge, 1964–1966, and currency crisis management
by Roberts, Richard
- 231-233 Kenneth D. Garbade, Birth of a Market: The US Treasury Securities Market from the Great War to the Great Depression (Cambridge, MA: MIT Press, 2012, xii + 393 pp., $50, ISBN 978-0-262-01637-7) - Julia C. Ott, When Wall Street Met Main Street: The Quest for an Investors' Democracy (Cambridge, MA: Harvard University Press, 2011, 313 pp., $35.00, ISBN 978-0-674-05065-5)
by Noll, Franklin
- 233-236 Harold James, Making the European Monetary Union: The Role of the Committee of Central Bank Governors and the Origins of the European Central Bank (Cambridge, MA, and London: The Belknap Press of Harvard University Press, 2012, 567 pp., ISBN 978-0-674-06683-0)
by Maes, Ivo
April 2013, Volume 20, Issue 1
- 1-27 Deriving the railway mania
by Campbell, Gareth
- 29-48 Competition among the exchanges before the SEC: was the NYSE a natural hegemon?
by White, Eugene N.
- 49-72 An experiment in banking the poor: the Irish Mont-de-Piété, c. 1830–18501
by McLaughlin, Eoin
- 73-89 The determinants of investment returns in the fire insurance industry: the case of Sweden, 1903–1939
by Andersson, Lars Fredrik & Lindmark, Magnus & Adams, Mike & Upreti, Vineet
- 91-102 Liquidity preference and interest-bearing money: the Ottoman Empire, 1840–1851
by Burdekin, Richard C. K. & Keskinel, Meric
- 103-106 Daniel Carey and Christopher J. Finlay (eds.), The Empire of Credit: The Financial Revolution in Britain, Ireland and America, 1688–1815 (Dublin: Irish Academic Press, 2011, 272 pp., £45.00) - Carl Wennerlind, Casualties of Credit: The English Financial Revolution, 1620–1720 (Cambridge, MA: Harvard University Press, 2011, 360 pp., $39.95/£29.95)
by Graham, Aaron
- 106-109 Martin Allen, Mints and Money in Medieval England (Cambridge: Cambridge University Press2012, 576 pp., £120, ISBN 9781107014947)
by Bholat, David
December 2012, Volume 19, Issue 3
- 249-267 Gold sterilization and the recession of 1937–19381
by Irwin, Douglas A.
- 269-288 Those dishonest goldsmiths1
by Selgin, George
- 289-309 Panics, payments disruptions and the Bank of England before 18261
by James, John A.
- 311-335 Long-run fiscal dominance in Argentina, 1875–19901
by Gadea, María Dolores & Sabaté, Marcela & Sanz, Isabel
- 337-361 Wars, inflation and stock market returns in France, 1870–19451
by Le Bris, David