Financial Crisis and Crisis Management in Sweden. Lessons for Today
(2009) In ADBI Working Paper Series No. 165. p.1-19- Abstract
- This paper gives an account of the Swedish financial crisis covering the period 1985–2000, dealing with financial deregulation and the boom in the late 1980s, the bust and the financial crisis in the early 1990s, the recovery from the crisis and the bank resolution policy adopted during the crisis. The paper focuses on three issues: the causes and consequences of the financial crisis, the policy response concerning bank resolution, and the applicability of the Swedish model of bank crisis management for countries currently facing financial problems.
- Abstract (Swedish)
- This paper gives an account of the Swedish financial crisis covering the period 1985–2000, dealing with financial deregulation and the boom in the late 1980s, the bust and the financial crisis in the early 1990s, the recovery from the crisis and the bank resolution policy adopted during the crisis. The paper focuses on three issues: the causes and consequences of the financial crisis, the policy response concerning bank resolution, and the applicability of the Swedish model of bank crisis management for countries currently facing financial problems.
Please use this url to cite or link to this publication:
https://lup.lub.lu.se/record/e661aeaa-dc62-4c32-acc1-8e0e649d30f6
- author
- Jonung, Lars LU
- organization
- publishing date
- 2009
- type
- Working paper/Preprint
- publication status
- published
- subject
- in
- ADBI Working Paper Series
- volume
- No. 165
- pages
- 19 pages
- publisher
- Asian Development Bank Institute
- language
- English
- LU publication?
- yes
- id
- e661aeaa-dc62-4c32-acc1-8e0e649d30f6
- alternative location
- http://www.adbi.org/working-paper/2009/11/20/3368.financial.crisis.mngt.sweden/
- date added to LUP
- 2020-01-31 10:37:38
- date last changed
- 2020-02-03 10:11:42
@misc{e661aeaa-dc62-4c32-acc1-8e0e649d30f6, abstract = {{This paper gives an account of the Swedish financial crisis covering the period 1985–2000, dealing with financial deregulation and the boom in the late 1980s, the bust and the financial crisis in the early 1990s, the recovery from the crisis and the bank resolution policy adopted during the crisis. The paper focuses on three issues: the causes and consequences of the financial crisis, the policy response concerning bank resolution, and the applicability of the Swedish model of bank crisis management for countries currently facing financial problems.}}, author = {{Jonung, Lars}}, language = {{eng}}, note = {{Working Paper}}, pages = {{1--19}}, publisher = {{Asian Development Bank Institute}}, series = {{ADBI Working Paper Series}}, title = {{Financial Crisis and Crisis Management in Sweden. Lessons for Today}}, url = {{https://lup.lub.lu.se/search/files/75718475/adbi_wp165.pdf}}, volume = {{No. 165}}, year = {{2009}}, }