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Millar stresses the periodic upward reval!uation of gold as the mechanism for defeating a deflationary debt depression at the end of an economic cycle. Millar writes:
"The first cycle unfolded as follows:
"-- Phase 1: Stability under a gold standard until 1914.
"-- Phase 2: Inflation until 1921, which resulted in a buildup of debt.
"-- Phase 3: Disinflation, which brought stability and allowed asset inflation until 1929, but encouraged a further buildup of debt.
"-- Phase 4: Instability after 1929 caused by deflation of assets from overpriced levels and exacerbated by excessive debt levels, leading to depression of economic activity.
"-- Phase 5: Monetary reform enabled by a reval!uation of gold to overcome deflationary debt depression.
"In the second half of the 20th century we saw a repeat of the first three phases of the same cycle:
"-- Phase 1: Stability from 1944 to 1968 under a gold standard.
"-- Phase 2: Inflation from 1968 to 1981, which caused and justified another buildup of debt.
"-- Phase 3: Disinflation from 1981 until the end of the 20th century, and maybe to the present.
"However, it appears that Phase 4 (instability and ultimately deflation due to excessive debt) may have started. If so, Phase 5 (reval!uation of the gold price to raise the monetary value of the world monetary base and hence reduce the burden of debt) becomes likely or inevitable.

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Millar writes...
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작성일 : 2009-01-20 11:26:45
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