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Replication data for: A New History of Banking Panics in the United States, 1825-1929: Construction and Implications

Version
V0
Resource Type
Dataset
Creator
  • Jalil, Andrew J.
Publication Date
2014-12-30
Description
  • Abstract

    There are two major problems in identifying the output effects of banking panics of the pre-Great Depression era. First, it is not clear when panics occurred because prior panic series differ in their identification of panic episodes. Second, establishing the direction of causality is tricky. This paper addresses these two problems (i) by deriving a new panic series for the 1825-1929 period and (ii) by studying the output effects of major banking panics via vector autoregression (VAR) and narrative-based methods. The new series has important implications for the history of financial panics in the United States. (JEL E32, E44, G21, N11, N12, N21, N22)
Availability
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Relations
  • Is supplemented by
    DOI: 10.1257/mac.20130265 (Text)
Publications
  • Jalil, Andrew J. “A New History of Banking Panics in the United States, 1825–1929: Construction and Implications.” American Economic Journal: Macroeconomics 7, no. 3 (July 2015): 295–330. https://doi.org/10.1257/mac.20130265.
    • ID: 10.1257/mac.20130265 (DOI)

Update Metadata: 2019-10-13 | Issue Number: 1 | Registration Date: 2019-10-13

Jalil, Andrew J. (2014): Replication data for: A New History of Banking Panics in the United States, 1825-1929: Construction and Implications. Version: V0. ICPSR - Interuniversity Consortium for Political and Social Research. Dataset. http://doi.org/10.3886/E114077