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Júpiter - Sistema de Gestão Acadêmica da Pró-Reitoria de Graduação


Faculdade de Economia, Administração e Contabilidade de Ribeirão Preto
 
Economia
 
Disciplina: REC2414 - História das Instituições Monetárias Modernas
History of Modern Monetary Institutions

Créditos Aula: 4
Créditos Trabalho: 0
Carga Horária Total: 60 h
Tipo: Semestral
Ativação: 01/01/2022 Desativação:

Objetivos
Apresentar uma perspectiva histórica sobre importantes elementos da economia internacional, (regimes cambiais, crises bancárias, o papel das políticas monetárias e de regulação financeira, integração monetária) bem como fornecer uma abordagem histórica para os debates políticos modernos em torno das recentes crises, dos diferentes formatos das politicas monetárias e de regulação internacional do sistema financeiro, assim como do papel das finanças internacionais no desenvolvimento (crescimento e desigualdade) econômico mundial.
 
 
 
Docente(s) Responsável(eis)
64026 - Amaury Patrick Gremaud
689580 - Fábio Barbieri
58485 - Julio Manuel Pires
3028409 - Lelio Luiz de Oliveira
76728 - Ricardo Luís Chaves Feijó
 
Programa Resumido
não consta
 
 
 
Programa
I. A formação dos sistemas financeiros nos países desenvolvidos e as origens do Padrão Ouro: o período
anterior à Primeira Guerra Mundial
1.O desenvolvimento econômico e os sistemas monetários e financeiros nacionais no século XIX
Rousseau, P. (2003), Fiori (1999), Grubb, (2006), Kindleberger, C (1984), Edwards & Ogilvie (1996);
Lamoreaux (1986), Garbade & Silber (1978), Friedman & Scwhartz(1965), Sylla (1988),
1.2. Free Banking
Rockoff (1974), Rockoff, (1972) Rolnick and Weber (1983), Ng (1988) Selgin & L W. White (1994).
Lakomaa (2007) Kindleberger, C (1984),
1.3 Bimetalismo
Eichengreen (2000), Friedman (1990 e 1991). Redish, A. (1995), Fladreau (1996)
1.4. Integração Financeira Global no final do XIX
Paulet, J.P. (2009), Obstfeld, M., and A. Taylor (2002), Flandreau M., and F. Zumer (2004), Accominotti,
O., M. Flandreau and R. Rezzik, (2011), Eichengreen (2000), Kindleberger, C (1984),
1.5. O Padrão Ouro
Eichengreen (2000), Bordo, M. (1981), Wolf, M. (2012) Bodenhorn (1992) Baldwin and Philippe Martin
(1999), Hugh Rockoff (1984),
1.6. Pânicos Bancários e crises finaceiras
Marichal, C.(2016) Marcel, B. & Taieb, J.(2016), Kindelberg & Aliber (2013), Eichengreen & Bordo
(2002), Bordo, M., Eichengreen, B., Klingebiel, D. and M. Soledad Martinez-Peria, (2001), Reinhart C. M.
and K. Rogoff (2008), Odell K., and M. Weidenmier (2004), Calomiris C. and G. Gorton (1991), Flores. J.
(2007),
1.7. Bancos Centrais: emprestadores em última instancia e reserva federal
Ogren (2019). Goodhart, C. (2002 e 2010), Capie, F.; Goodhart, C.; Schnadt, N. (1994), Gorton, G. (1985),
Bagehot, W. (1873), Bordo, M. (1990), Bignon,V. Marc Flandreau and Stefano Ugolini, (2011), White, E.
(1982), Friedman, Milton and Anna J. Schwartz. (1965)
II.Tentativas de reconstrução do Padrão Ouro e a Grande Crise dos 30: o período de entre guerras
1. A volta ao Padrão Ouros e as dificuldades das políticas nacionais na década de 20
Keynes (1925), Nurske (1944), Bresciani-Turoni (1989), Eichengreen (2000), Eichengreen, B. and C.
Wyplosz, (1986), Prati, A., (1991), Sicsic, P., (1993),
2. A quebra da bolsa de 1929
Kindelberg & Aliber (2013), Kindelberg (1973), Galbraith (1992), Brener (1997), Romer (1990), White
(1990)
3. Política Monetária, crises bancarias e a grande crise dos anos 30 nos EUA
Friedman & Schwartz. (1965), Richardson, G., & Troost, W. (2009), Bernanke, B. (1995 e 1983),
Eichengreen (2000), Eichengreen e Sachs (1985) Calomiris, C. & J. Mason (1997), Richardson, G. (2007),
Marichal, C.(2016) Marcel, B. & Taieb, J.(2016), Romer, C. (1993) Hamilton, J. (1987),Wheelock, D.
(1992) Urdanivia, F. N. (2011)
4. A crise financeira global nos anos 30
Eichengreen (2000 e 1992), Eichengreen e Sachs (1985), Brener (1997), Kindelberg (1973), Irwin, D.,
(2010), Accominotti, O., (2009), Accominotti, O. (2012), Ferguson, T. and P. Temin (2003). James, H.
(2001), Schnabel, I. (2003), Fishlow (1985), Marichal, C. (2016) Marcel, B. & Taieb, J. (2016),
5. O New Deal e a regulação do sistema financeiro
Calomiris, C. (2011), Eichengreen (2000), Cole, H. and Ohanian, L. (2004) “ Romer, C. (1992), Friedman
& Schwartz. (1965), Goodhart, C. A. (2010)
III. A era de Bretton Woods
1. A formatação do sistema monetário interacional durante a II Guerra Mundial
Aglietta, M. & Moatti, S. (2000), Eichengreen (2000), Urdanivia, F. N. (2011), Lichtensztejn, S. & Baer,
M. (1987)
2. Da simetria à assimetria: o funcionamento real do sistema de Bretton Woods
Aglietta, M. & Moatti, S. (2000) Eichengreen (2000), Lichtensztejn, S. & Baer, M. (1987) Goodhart, C. A.
(2010), Capie, F.; Goodhart, C.; Schnadt, N. (1994), Piketty, T. (2013). Meltzer (2011)
3. Os primórdios do Euro: o ECU
Eichengreen (1993 e 2000) Wolf, M. (2012), Aglietta, M. & Moatti, S. (2000)
4. Do desequilíbrio benéfico ao exorbitante privilegio
Eichengreen (2011 e 2000), Aglieta, M. & Berrebi, L. (2008), Aglietta, M. & Moatti, S. (2000), Urdanivia,
F. N. (2011), Reinhart C. M. and K. Rogoff (2008), Lichtensztejn, S. & Baer, M. (1987), Brenner, Robert.
(2003), Meltzer (2011) Marichal, C. (2016) Marcel, B. & Taieb, J. (2016),
5. O início da globalização financeira: internacionalização bancaria e o euromercado
Eichengreen (2011 e 2000), Goodhart, C. A. (2010), Capie, F.; Goodhart, C.; Schnadt, N. (1994), Aglieta,
M. & Berrebi, L. (2008, Aglietta, M. & Moatti, S. (2000), Ariyoshi, A. et alli (1999), Belluzzo, L.G.M.
(1995)
IV. A nova Globalização e as crises
1. Sistema monetário Internacional: câmbio flexível e a busca de uma nova coordenação
Aglieta, M. & Berrebi, L. (2008), Aglietta, M. & Moatti, S. (2000), Eichengreen (2011 e 2000), Goodhart,
C. A. (2010), Capie, F.; Goodhart, C.; Schnadt, N. (1994) Lichtensztejn, S. & Baer, M. (1987), Krugman,
P. (2001) Greenspan, Alan. (2007), Brenner, Robert. (2003), Diaz-Alejandro C. (1985),
2. Mercado financeiro: desregulação, inovações e a o reascenção do mercado de capitais: a globalização
financeira
Giron, A. & Correa, A. (2012) , Vergopoulos, Kostas.(2002), Eichengreen (2011 e 2000), Stiglitz (2002 e
2003) , Baldwin e Martin (1999), Goodhart, C. A. (2010), Capie, F.; Goodhart, C.; Schnadt, N. (1994),
Obstfeld, M., and A. Taylor (2002), Greenspan, Alan. (2007), Aglieta, M. & Berrebi, L. (2008), Ariyoshi,
A. et alli (1999), Belluzzo, L.G.M. (1995), Belluzzo, L.G.M. (1995), Kregel, J. (1996), Mukund (2014)
Diaz-Alejandro C. (1985), Kaminsky, G., Reinhart C. and C. Vegh (2003),
3. O Euro e a União monetária europeia
Eichengreen (1993, 2000 e 2000ª, 2007), Aglieta, M. & Berrebi, L. (2008), Aglietta, M. (1995a), Assa
(2012), Flandreau (2011), De Grauwe (2011), Frankel (2012), Wyplotz (2012)
4. De crise em crise até a crise de 2008
Calomiris, C. (2010), Gorton, G. (2008), Krugman, P. (2009 e 2001) Urdanivia, F. N. (2011), Eichengreen
(1995 e 2000) Stiglitz, J. (2016), Roubini e Mihm, S (2010), Reinhart & Rogoff (2008), Cassidy, John
(2011), Aglietta (1995b), Dunn, Malcolm H. (2000), Montecino e Epstein (2015) Diaz-Alejandro C. (1985),
Marichal, C.(2016) Marcel, B. & Taieb, J.(2016), Mishkin, F. (2000 e 1999), Berg (1999), Radelet, S. and
J. Sachs (1998), Brunnermeier, M. (2009),
5. Globalização: crescimento e distribuição
Goodwin, N et ali (2019), Milanovic (2017) Stiglitz (2016), Piketty, T. (2013 2 2018), Krugman, P.(2012),
Deaton (2019) Vergopoulos, Kostas.(2002), Atkinson, A.B.(2015), Montecino e Epstein (2015), Mukund
(2014), Assa (2012)
 
 
 
Avaliação
     
Método
A critério do professor.
Critério
A critério do professor. Aprovação com nota igual ou superior a 5,0 e mínimo de 70% de frequência.
Norma de Recuperação
A nota final para alunos que fizerem a reavaliação será a média simples entre a nota da prova de reavaliação e a média final alcançada antes da prova de reavaliação
 
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