1. Anvendt makroøkonomi
1.1. Defining
1.1.1. Aggregate output
1.1.2. aggregate income
1.1.3. Price level
1.1.4. growth and inflation rates
1.2. overwiew of financial system
1.2.1. Function
1.2.2. structure
1.2.3. Following news
1.2.4. intermediaries
1.2.5. regulation
1.3. What is money
1.3.1. Meaning
1.3.2. function
1.3.3. payment system
1.4. The stock market
1.4.1. computing price
1.4.2. rational expectations
1.4.3. efficient market hypothesis
1.5. Economic analysis of financial structure
1.5.1. transaction cost
1.5.2. asymmetric information
1.5.3. moral hazard
1.5.4. conflicts of interest
1.6. Banking industry
1.6.1. structure and competition
1.6.2. historical development
1.6.3. thrift industry
1.7. Economic analysis of banking regulation
1.7.1. regulation
1.7.2. banking crisis
1.7.3. bailout
1.7.4. federal deposit insurance
2. finansiell endring
2.1. Mellomkrigstiden
2.1.1. Bankinspeksjon og bankkrise
2.1.1.1. Internasjonal krise
2.1.1.2. Bankstøttepolitikk
2.1.1.3. Felles banktilsyn
2.1.1.4. Likvidasjon
2.1.1.5. Securitas-saken
2.1.1.6. konjunktursammenbrudd?
2.2. DEREGULERING OG REGIMESKRIFTE
2.2.1. 1970-1986
2.2.1.1. Oljekrise
2.2.1.2. Vekst
2.2.1.3. Valutaregulering
2.2.1.4. Bankinspeksjon
2.2.1.4.1. Nye oppgeave
2.2.1.4.2. Nye rammebetingelser
2.2.1.4.3. Strukturpolitikk
2.2.1.4.4. Administrativ ordning
2.2.1.4.5. Norges Bank
2.2.1.4.6. Meglerkontroll
2.2.1.5. Deregulering
2.2.1.6. Banksektor
2.2.1.6.1. Nyetableringer
2.2.1.6.2. Kapitalkrav
2.2.1.6.3. Soliditet
2.2.1.6.4. Lånekapital
2.2.1.6.5. Motiver
2.2.1.7. Politisk økonomi
2.2.1.8. Forsikring
2.2.1.9. Kredittilsynet etableres
2.3. Fra liberalisering og vekst til krise 1986-1992
2.3.1. endring og modernisering av finanslovgivningen
2.3.2. børskrakk og banktap
2.3.3. norion bank
2.3.4. tilsynsfilosofi
2.3.5. strategisk planlegging