The period of global economic crisis starting from 2008 is a great challenge for public institutions responsible for macroeconomic management. Although Norway is a country that has not been significantly affected by the crisis, the pace and scale of countercyclical actions were a major challenge for Norwegian institutions. The activities of the Norwegian central bank included interest rate policy, liquidity management on the interbank market and supervision of the oil fund. The policy of interest rates had a huge importance in 2008 when the bank made a few decisions under conditions of high uncertainty and unprecedented scale. The initial phase of the crisis was also crucial in terms of liquidity and policy of enhancing stability of Norwegi...
This paper draws the line between the Norwegian boom-bust cycle and crises in the late 1980s and ear...
The international recession triggered by the financial crisis is often called “The Great Recession” ...
Kryzys finansowy zmusił banki centralne do aktywności w stymulowaniu warunków funkcjonowania sektora...
The period of global economic crisis starting from 2008 is a great challenge for public institutions...
Norway is a country which successfully managed to escape the 2007-2008 economic crisis. The com- bin...
In autumn 2008, many banks encountered considerable difficulties with portfolio funding. This articl...
The Norwegian economy presents some unique challenges for monetary policy, not only because it is sm...
crisis and state ownership of commercial banks Hans Petter Wilse Mounting losses in 1987 and subsequ...
The thesis investigates the two most recent crises affecting the Norwegian banking system, namely th...
The Norwegian experiences of the past thirty years illustrate what we believe are two general tenden...
This article is a slightly revised version of Chapter II (the summary) of Norges Bank’s Occasional P...
Ideal Crisis Management Mechanism for Credit Institutions and Investment Firms in the European Union...
The Financial Stability report focuses on the prospects for banks’ earnings and financial strength a...
Central banks have traditionally had a role as lender of last resort (LLR). This means that the cent...
The Norwegian experiences of the past thirty years illustrate what we believe are two general tenden...
This paper draws the line between the Norwegian boom-bust cycle and crises in the late 1980s and ear...
The international recession triggered by the financial crisis is often called “The Great Recession” ...
Kryzys finansowy zmusił banki centralne do aktywności w stymulowaniu warunków funkcjonowania sektora...
The period of global economic crisis starting from 2008 is a great challenge for public institutions...
Norway is a country which successfully managed to escape the 2007-2008 economic crisis. The com- bin...
In autumn 2008, many banks encountered considerable difficulties with portfolio funding. This articl...
The Norwegian economy presents some unique challenges for monetary policy, not only because it is sm...
crisis and state ownership of commercial banks Hans Petter Wilse Mounting losses in 1987 and subsequ...
The thesis investigates the two most recent crises affecting the Norwegian banking system, namely th...
The Norwegian experiences of the past thirty years illustrate what we believe are two general tenden...
This article is a slightly revised version of Chapter II (the summary) of Norges Bank’s Occasional P...
Ideal Crisis Management Mechanism for Credit Institutions and Investment Firms in the European Union...
The Financial Stability report focuses on the prospects for banks’ earnings and financial strength a...
Central banks have traditionally had a role as lender of last resort (LLR). This means that the cent...
The Norwegian experiences of the past thirty years illustrate what we believe are two general tenden...
This paper draws the line between the Norwegian boom-bust cycle and crises in the late 1980s and ear...
The international recession triggered by the financial crisis is often called “The Great Recession” ...
Kryzys finansowy zmusił banki centralne do aktywności w stymulowaniu warunków funkcjonowania sektora...