Please use this identifier to cite or link to this item: https://hdl.handle.net/10419/209760 
Year of Publication: 
1994
Series/Report no.: 
Arbeidsnotat No. 1994/1
Publisher: 
Norges Bank, Oslo
Abstract: 
Most existing early warning studies for the banking industry are based on U.S. data. The present paper considers the experiences made during the Norwegian banking crisis 1988- 92. The performance of a set of possible early warning indicators are evaluated, both as independent indicators and as part of a simultaneous indicator system. The paper leads to recommendations for the future structure of early warning systems, specifically with reference to the Norwegian banking industry but with relevance even to the banking industries of other countries.
Persistent Identifier of the first edition: 
ISBN: 
82-7553-055-5
Creative Commons License: 
cc-by-nc-nd Logo
Document Type: 
Working Paper
Appears in Collections:

Files in This Item:
File
Size





Items in EconStor are protected by copyright, with all rights reserved, unless otherwise indicated.