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The Blue Maritime Cluster Crisis: Financial Instability and Supply Chain Management Effects

Author

Listed:
  • Koilo, Viktoriia

    (NLA University College)

  • Grytten, Ola Honningdal

    (Dept. of Economics, Norwegian School of Economics and Business Administration)

Abstract

The present paper investigates the offshore crisis 2015-2017 and its impact on one of the most complete maritime clusters, more precise the Blue Maritime Cluster, located at Møre og Romsdal at the North Western Coast of Norway. As this cluster is heavily involved in offshore petroleum operations, it experienced an almost devastating blow during the crisis. The cluster lost almost one third of its employees as its value added contracted by 39 percent. The crises is basically seen as result of the falling oil prices and, thus, lower activity and squeezed profit margins, particularly in marginal oil and gas fields. The paper does not dispute this. However, it also investigates the crisis in the light of financial instability and chain reactions down the maritime supply chain. By collecting data from the Blue Maritime Cluster and the Norwegian central company register one is able, both to trace the fall in activity due to the crisis and measures of financial strength. The study approaches the data by using structural time series analysis in order to map cycles as deviations from polynomial trends. The conclusions are that financial instability was dominant within the Blue Maritime Cluster during its boom before the crisis. Debt ratios, and thereby gearing or leverage was high. Thus, the companies could not meet their obligations when the crisis hit, due to low solidity and loss of financial stability. The paper also finds that narrow focused supply chain management, made the cluster fall deep in to the abyss when ship owning companies and shipyards were hit. Companies with a more diversified portfolio were able to meet the hard years better than others.

Suggested Citation

  • Koilo, Viktoriia & Grytten, Ola Honningdal, 2019. "The Blue Maritime Cluster Crisis: Financial Instability and Supply Chain Management Effects," Discussion Paper Series in Economics 15/2019, Norwegian School of Economics, Department of Economics.
  • Handle: RePEc:hhs:nhheco:2019_015
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    Citations

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    Cited by:

    1. Ghazi M. Magableh & Mahmoud Z. Mistarihi, 2023. "Global Supply Chain Nervousness (GSCN)," Sustainability, MDPI, vol. 15(16), pages 1-24, August.
    2. Zhou, Yusheng & Li, Xue & Yuen, Kum Fai, 2022. "Holistic risk assessment of container shipping service based on Bayesian Network Modelling," Reliability Engineering and System Safety, Elsevier, vol. 220(C).

    More about this item

    Keywords

    Maritime; Cluster; Supply Chain Management; Financial instability; Financial crisis;
    All these keywords.

    JEL classification:

    • G32 - Financial Economics - - Corporate Finance and Governance - - - Financing Policy; Financial Risk and Risk Management; Capital and Ownership Structure; Value of Firms; Goodwill
    • L22 - Industrial Organization - - Firm Objectives, Organization, and Behavior - - - Firm Organization and Market Structure
    • L91 - Industrial Organization - - Industry Studies: Transportation and Utilities - - - Transportation: General
    • M21 - Business Administration and Business Economics; Marketing; Accounting; Personnel Economics - - Business Economics - - - Business Economics
    • N74 - Economic History - - Economic History: Transport, International and Domestic Trade, Energy, and Other Services - - - Europe: 1913-

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