Financing the Franco Regime

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Fascism
Finance
forthcoming
Franco
Francoist financial policy

Product details

  • ISBN 9781041292616
  • Dimensions: 156 x 234mm
  • Publication Date: 07 Jul 2026
  • Publisher: Taylor & Francis Ltd
  • Publication City/Country: GB
  • Product Form: Hardback
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This book analyses the financial policies and institutions developed under the Franco regime over nearly four decades and how key actors – banks, savings banks, the foreign sector, the Banco de España and public debt management – were used to support the regime’s economic objectives.

Situating Francoist financial policy within the broader European context of post-World War II financial repression, it highlights the distinctive features of the Spanish case, shaped by a political dictatorship that profoundly influenced both policy design and institutional practice. By combining institutional analysis with the study of regulation, financial mechanisms and historical evolution, the book offers a nuanced account of the financial history of Francoism and places Spain within broader postwar European patterns of financial interventionism.

Offering new empirical evidence, critical interpretations and comparative perspectives, this volume targets a broad academic audience, including undergraduates seeking an introduction to the Franco regime’s financial system, postgraduate and PhD students requiring in-depth analysis for advanced research in economic history, as well as researchers and scholars interested in transnational approaches to economic policy and institutional development.

Joaquim Cuevas is an associate professor of economic history in the Economic Analysis Department at the University of Valencia, Spain. His research and teaching focus on economic and financial history, including banking and monetary history, and on industrial and regional development.

María A. Pons is a professor of economic history in the Economic Analysis Department at the University of Valencia, Spain. Her area of specialisation is economic history, with special emphasis on monetary and banking history, financial crises and globalisation.