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FinObservatory

Crisis atlas / KHM

Cambodia

2 distinct crisis events in 2 episodes, 19711992, from the union of five primary chronologies.

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

0
Banking crises
2
Currency crises
0
Sovereign debt crises
2
Crisis events
1971–1992
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. 1992
    Currencygmd, laeven_valencia2 sources
  2. 1971
    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.

1971

Currency

No macro panel coverage for this window.

1992

Currency
Inflation (% y/y)
-1000100200198719921997
Policy rate (%)
No data for this window
Govt debt (% of GDP)
02040198719921997

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