Russian financial crisis of 1998

E6408

The Russian financial crisis of 1998 was a severe economic collapse marked by a sharp devaluation of the ruble, default on domestic debt, and banking sector turmoil that undermined confidence in Russia’s post-Soviet market reforms.

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AI-generated illustration of Russian financial crisis of 1998

This AI-generated illustration was produced by black-forest-labs/FLUX.2-dev (1024x1024) from a prompt written by openai/gpt-oss-120b from the entity's label + description.

Prompt

Generate an image of the Russian financial crisis of 1998 (The Russian financial crisis of 1998 was a severe economic collapse marked by a sharp devaluation of the ruble, default on domestic debt, and banking sector turmoil that undermined confidence in Russia’s post-Soviet market reforms.)

All labels observed (4)

How this entity was disambiguated

Statements (50)

Predicate Object
instanceOf economic crisis ⓘ
financial crisis ⓘ
sovereign default event ⓘ
affectedSector Russian financial markets ⓘ
banking sector in Russia ⓘ
real economy in Russia ⓘ
alsoKnownAs 1998 Russian financial crisis ⓘ
Ruble crisis of 1998 ⓘ
Russian default of 1998 ⓘ
country Russia ⓘ
endDate 1999 ⓘ
followedBy Russian economic recovery in the early 2000s ⓘ
governmentAction announcement of ruble devaluation on 17 August 1998 ⓘ
default on short-term ruble-denominated government securities (GKOs and OFZs) ⓘ
imposition of a 90-day moratorium on some foreign debt payments ⓘ
temporary capital controls and restrictions on foreign exchange operations ⓘ
historicalContext post-Soviet economic transition in Russia ⓘ
impact collapse of investor confidence in Russia ⓘ
increase in non-performing loans in Russian banks ⓘ
pressure on emerging markets globally ⓘ
sharp fall in Russian stock market ⓘ
involvedCurrency Russian ruble ⓘ
keyEvent banking sector crisis in Russia ⓘ
collapse of the Russian Treasury bill (GKO) market ⓘ
default on domestic government debt ⓘ
devaluation of the Russian ruble in August 1998 ⓘ
moratorium on some foreign debt payments ⓘ
location Russian Federation ⓘ
linked to: Russia
mainCause Asian financial crisis of 1997 contagion ⓘ
chronic fiscal deficits ⓘ
declining commodity prices ⓘ
political instability in Russia in the 1990s ⓘ
unsustainable government debt ⓘ
weak tax collection ⓘ
notableConsequence near-collapse of the hedge fund Long-Term Capital Management ⓘ
precededBy Asian financial crisis of 1997 ⓘ
relatedTo Russian government debt restructuring of 1999 ⓘ
result collapse of many Russian banks ⓘ
contraction of Russian GDP ⓘ
erosion of confidence in post-Soviet market reforms ⓘ
loss of savings for Russian households ⓘ
political fallout for the Russian government ⓘ
rise in poverty in Russia ⓘ
sharp devaluation of the Russian ruble ⓘ
spike in inflation in Russia ⓘ
strengthening of state role in the Russian economy ⓘ
startDate 1998-08-17 ⓘ
timePeriod late 1990s ⓘ
triggeredBy fall in world oil prices in the late 1990s ⓘ
loss of investor confidence in Russian government debt ⓘ

How these facts were elicited

Referenced by (5)

Full triples — surface form annotated when it differs from this entity's canonical label.

Asian financial crisis of 1997–1998 → followedBy → Russian financial crisis of 1998 ⓘ
Russian financial crisis of 1998 → alsoKnownAs → 1998 Russian financial crisis ⓘ
linked to: Russian financial crisis of 1998
Russian financial crisis of 1998 → alsoKnownAs → Russian default of 1998 ⓘ
linked to: Russian financial crisis of 1998
Russian financial crisis of 1998 → alsoKnownAs → Ruble crisis of 1998 ⓘ
linked to: Russian financial crisis of 1998
The Crisis of Global Capitalism → influencedBy → Russian financial crisis of 1998 ⓘ