ABSTRACT. The purpose of this article is to gain a deeper understanding of the growth potential of the Swedish economy, improvements in the financial-policy framework in Sweden, and the range of actions taken by the Swedish authorities in the crisis. In the present paper, I focus on the opening up of Sweden’s financial system through external linkages, the vulnerabilities associated with Sweden’s financial openness, and spreads and market volatility in Sweden. pp. 52–57
JEL Codes: D53, E44, F36

Keywords: Swedish economy; financial policy; stability; crisis

How to cite: Popescu, Gheorghe H. (2013), "Swedish Financial Policies during the Global Financial Meltdown," Psychosociological Issues in Human Resource Management 1(2): 52–57.

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Dimitrie Cantemir Christian University, Romania

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