Tuomas Malinen

/Tuomas Malinen

About Tuomas Malinen

PhD (econ.) Tuomas Malinen is the CEO of GnS Economics and an Adjunct Professor of Economics at the University of Helsinki. He is specialized in economic growth, economic crises, business cycles, monetary unions and central banks.

Repo-market turmoil: staring into the financial abyss?

By |2019-12-14T13:46:00+02:00joulukuu 14th, 2019|Central banks, English, Financial crisis, Financial markets, Global depression|

One thing has been bothering us for six years. How can so many economists and economic commentators dismiss the ever-increasing market meddling of central banks so lightly? The first time we warned about this possible threat to financial markets w...

China (and the world economy) at the end of the road

By |2019-11-22T15:26:17+02:00marraskuu 20th, 2019|Central banks, China, English, Global depression, Global economy|

We have been monitoring China closely since March 2017. We were one of the first to show that China had driven the global business cycle since 2009 and that the rem...

Kommentit pois päältä artikkelissa China (and the world economy) at the end of the road

The destruction of the European banking sector

By |2019-11-06T08:10:05+02:00lokakuu 3rd, 2019|Banks, Central banks, English, Financial crisis, preparation, Recession|

For some reason, the dire situation of European banks is not causing further alarm. This is strange, as it is the exact place where the new global banking crisis is likely to start. What makes it even stranger is that recession is approaching the ...

Kommentit pois päältä artikkelissa The destruction of the European banking sector

Kriisivarautuminen euroalueella

By |2019-09-25T19:16:06+02:00syyskuu 24th, 2019|euroalue, Varautuminen, Velkakirjat|

Euroalue on poikkeuksellinen uhka sijoittajille. Euroopan keskuspankin rahapoliittiset poikkeustoimet, korkeaksi noussut valtionvelka, erittäin alhaiset korot (ks. kuvio) sekä heikko pankkisektori muodostavat erittäin haavoittuvan ja riskialttiin sij...

Kommentit pois päältä artikkelissa Kriisivarautuminen euroalueella

Crisis Preparation II: The Eurozone

By |2019-11-11T15:20:50+02:00syyskuu 24th, 2019|English, Eurozone, Financial crisis, preparation|

The European Monetary Union (EMU) has been a bold, but fundamental flawed experiment. It has sown the seeds of divergence in economic well-being, politics and it has “zombified” the banking sector in Europe. For investors, it has created the possibil...

Kommentit pois päältä artikkelissa Crisis Preparation II: The Eurozone

Don’t trust the liquidity

By |2019-11-05T17:41:36+02:00syyskuu 12th, 2019|Central banks, China, Economic growth, English, Financial crisis, Global economy, Recession|

There is renewed hope in the markets after central banks, most-recently the ECB and China, have added easing measures. The working narrative is that these will, once again, renew global growth and allow governments, corporations and consumers to go e...

Kommentit pois päältä artikkelissa Don’t trust the liquidity

Q-Review 3/2019: The Endgame

By |2019-11-05T09:10:43+02:00syyskuu 10th, 2019|Central banks, English, Financial crisis, Forecasts, Global economy, Recession|

A recession is approaching. Almost anywhere in the world one looks, economic indicators are in decline. As we have argued since March 2017, the coming recession wil...

Kommentit pois päältä artikkelissa Q-Review 3/2019: The Endgame
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