research

The Finnish Banking Crisis and Its Handling

Abstract

The paper gives a brief description of the evolution of the Finnish banking crisis and its handling. In the first section, the salient features of the Finnish banking system are described. We then briefly discuss the liberalization process, macroeconomic and regulatory policies, and the subsequent credit boom and its development into a recession of unprecedented depth. Next, we document the impact on bank profitablity of the drastic changes in macroeconomic conditions. The collapse and rescue of Skopbank are summarized. In section 2 we describe the public safety net, starting with the pre-crisis arrangements. This is followed by an exposition of the new measures taken in 1992, with the emphasis on the establishment of the Government Guarantee Fund, its organization, powers and principles of operation. Section 3 gives an account of the support measures taken by the Goverment Guarantee Fund in the course of 1992 and in early 1993. Section 4 describes the reform of the bank support arrangements in the early months of 1993. Finally, in section 5, we discuss the banks' current economic environment and their prospects in the near future. We also take up some of the major issues of principle relating to the rationalization of the banking sector. The paper includes references to recent articles and discussion papers dealing with important aspects of the current banking crisis. The list of references is by no means exhaustive, and it is designed mainly to help foreign readers to find supplementary material. Therefore only those papers in Finnish or Swedish which have to do directly with the current crisis are included.banking; crisis

    Similar works