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dc.contributor.authorHaare, Harald
dc.contributor.authorLund, Arild J.
dc.contributor.authorSolheim, Jon A.
dc.date.accessioned2018-07-26T07:31:27Z
dc.date.available2018-07-26T07:31:27Z
dc.date.issued2016
dc.identifier.isbn978-82-7553-919-7
dc.identifier.issn1504-2596
dc.identifier.urihttp://hdl.handle.net/11250/2506540
dc.description.abstractThis article is a slightly revised version of Chapter II (the summary) of Norges Bank’s Occasional Paper No. 48, published in Norwegian, which surveys financial sector developments and Norges Bank’s financial sector role in the period 1945-2013. In particular, it documents the main developments and the central bank’s handling of the Norwegian banking crisis in 1987-1993 and the global financial crisis in 2007-2009. The Occasional Paper forms part of Norges Bank’s Bicentenary Project marking the Bank’s 200th anniversary in 2016.nb_NO
dc.language.isoengnb_NO
dc.publisherNorges Banknb_NO
dc.relation.ispartofseriesStaff Memo;9/2016
dc.rightsAttribution-NonCommercial-NoDerivatives 4.0 Internasjonal*
dc.rights.urihttp://creativecommons.org/licenses/by-nc-nd/4.0/deed.no*
dc.titleNorges Bank’s Financial Sector Role in the Period 1945-2013, with a Particular Focus on Financial Stabilitynb_NO
dc.typeWorking papernb_NO
dc.subject.nsiVDP::Samfunnsvitenskap: 200::Økonomi: 210nb_NO
dc.relation.projectBicentenary Projectnb_NO


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Attribution-NonCommercial-NoDerivatives 4.0 Internasjonal
Except where otherwise noted, this item's license is described as Attribution-NonCommercial-NoDerivatives 4.0 Internasjonal