FinObservatory

Crisis atlas / ISR

Israel

7 distinct crisis events in 2 episodes, 19751986, from the union of five primary chronologies.

Debt profile: government debt trajectory and crisis-start levels →

4
Banking crises
3
Currency crises
0
Sovereign debt crises
7
Crisis events
1975–1986
Span

Crisis timeline

Every distinct (year, type) event, most recent first, with the chronologies flagging it. Start-year sources (GMD, JST) do not mark continuation years, so long episodes show lower agreement after their first year.

  1. 1986
    Bankinglaeven_valencia1 source
  2. 1985
    Currencygmd, laeven_valencia2 sources
    Bankinglaeven_valencia1 source
  3. 1984
    Bankinglaeven_valencia1 source
  4. 1983
    Bankinggmd, laeven_valencia2 sources
  5. 1980
    Currencygmd, laeven_valencia2 sources
  6. 1975
    Currencygmd, laeven_valencia2 sources

Source: Global Macro Database 2026_06 (Müller, Xu, Lehbib & Chen 2025) | Jordà-Schularick-Taylor Macrohistory R6 | Laeven & Valencia (2020) | Reinhart-Rogoff via HBS BFFS | ECB/ESRB Financial Crises Database Methodology

Macro context around each episode

Inflation, central-bank policy rate, and government debt in a window of five years either side of each crisis episode (consecutive crisis years bridged across gaps of up to two years). Crisis years shaded.

1975

Currency
Inflation (% y/y)
050100150197019751980
Policy rate (%)
050100197019751980
Govt debt (% of GDP)
0100200197019751980

1980–1986

CurrencyBankingFiscal cost 30.0% of GDP, output loss 42.7% of GDP (Laeven-Valencia 2026)
Inflation (% y/y)
0200400197519801991
Policy rate (%)
0200400600197519801991
Govt debt (% of GDP)
0100200300197519801991

Source: Global Macro Database 2026_06 (Müller, Xu, Lehbib & Chen 2025) Inflation is % year over year; policy rate is the central-bank rate in %; government debt is % of GDP. Methodology