Policy Papers

31.12.2015

Economic Crisis in Finland

This paper analyzes the main stages, causes and consequences of the economic crisis in Finland in 1990-1993. Financial deregulation in the 1970s and 80s has created conditions for credit expansion, growth of asset prices, short-term capital inflow, and expansion of domestic credit and currency speculations. The economic crisis was marked by rising real interest rates, falling asset prices, overall financial instability that has led to a significant increase of the budget deficit and unemployment in Finland.

This policy paper is available only in Russian.