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ECONIS (ZBW)
26
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핀테크 확대가 금융안정에 미치는 영향 (Effects of Fintech Expansion on Financial Stability)
Yoon, Jeewhan
;
Kim, Beomsoo
-
2022
Korean Abstract: 기술기반기업의 금융업 진출로 인한 핀테크의 확산은 이론적으로 기존 금융시스템에 긍정적인 영향과 부정적인 영향을 모두 미칠 수 있다. 본 연구는 핀테크의 금융서비스 확대가 금융안정에 긍정적인 영향과...
Persistent link: https://www.econbiz.de/10013405133
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2
EVT 및 CAViaR 모형에 의한 국고채 VaR 예측모형 분석 (VaR Forecasts for Korea Treasury Bonds via EVT and CAViaR Models)
Yun, Jaeho
-
2019
Korean Abstract: 본 논문은 시장리스크의 주된 측정수단인 VaR(value at risk)의 여러 예측모형을 한국의 국고채(1년, 5년, 10년 만기 할인채) 보유수익률에 적용하여 비교 분석하였다. 특히 EVT(extreme value theory)를 적용한 모형과...
Persistent link: https://www.econbiz.de/10014112974
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3
다(多)시장 정보를 활용한 금융시장 불안정성 지수 개발에 관한 연구-CISS 방법론을 중심으로- (A Proposal for a Systemic Stress Index in Korea-A CISS Approach)
Kim, Myeong Hyeon
;
Lee, Inro
-
2019
Korean Abstract:본 연구는 유럽중앙은행(ECB)에서 금융시장 불안정성 지표로 활용되고 있는 Composite Indicator of Systemic Stress(CISS)를 국내시장에 적용하여 한국형 금융시장 불안정성 지수를 제시하고 지수에 함의된 정보를 분석했다....
Persistent link: https://www.econbiz.de/10014113719
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4
Copula를 이용한 은행부문의 시스템적 리스크 측정 (Measuring the Systemic Risk in the Korean Banking Sector : The Copula Approach)
Lee, Geung Hee
-
2015
Korean Abstract: 전통적인 상관관계 측정방법을 통해서는 실제 리스크 익스포저 간의 가변적이고 복잡한 상관관계를 반영하여 시스템적 리스크를 추정하는데 한계가 있었다. 본고에서는 이와 같은 문제점을 극복하기 위해 Copula...
Persistent link: https://www.econbiz.de/10013024620
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5
외국인 투자자가 외환시장과 주식시장 간 유동성 동행화에 미치는 영향 (Foreign Ownership and Commonality in Liquidity between FX and Stock Markets)
Kim, Junhan
-
2015
volatility
in short-term capital flows and exchange rates leading to domestic financial market instability. Focusing on the …
Persistent link: https://www.econbiz.de/10013026021
Saved in:
6
조세피난처 투자자가 투자 기업 및 주식시장에 미치는 영향 (The Effects of Stock Holdings and Trading by Tax Haven Investors)
Jung, Hosung
-
2016
volatility
in the stock market, by focusing on total trading volume, gross buy volume, gross sell volume, and net buy volume … and increases stock return
volatility
. Based on such findings, this study suggests that regulatory authorities continue …
Persistent link: https://www.econbiz.de/10012987976
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7
시장위험 부도확률 모형을 이용한 예금보험공사 차등평가모형의 정합성 연구 : 은행업권을 중심으로(A Comparative Study of Bank Risk-Based Deposit Insurance Premium System Using Market Approach Method)
Binh, Ki Beom
-
2018
significant relationship between the EDF calculated using bank stock prices and
volatility
in stock market is examined, reflecting …
Persistent link: https://www.econbiz.de/10012906292
Saved in:
8
A Dynamic Measure of Intentional Herd Behavior Causing Excess
Volatility
in U.S. Stock Markets (미국 주식시장의 초과변동성과 의도적 무리행동의 동태적 측정)...
Kim, Myung Joong
;
Park, Beum-Jo
-
2021
English Abstract: This paper suggests a dynamic measure of intentional herding, causing the excess
volatility
or even … herding on market
volatility
tends to be stronger during the periods of turbulent markets like the degradation of U …
Persistent link: https://www.econbiz.de/10013220876
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9
An Evaluation on an Evaluation on the Korea Financial Hub Strategy (동북아 금융허브 전략에 대한 평가와 제언)
Jeung, Shin Dong
-
2018
Korean Abstract: 참여정부는 2003년 12월 제32차 국정과제회의에서 「동북아 금융허브 추진전략」을 확정하였다. 2007년까지 금융허브의 기반을 구축하고, 2010년까지 자산운용업 중심의 특화 금융허브를 달성하며, 2015년까지...
Persistent link: https://www.econbiz.de/10012928071
Saved in:
10
글로벌 금융위기에 따른 미국 주식시장의 충격이 국내 금융시장에 미친 영향에 관한 연구(Study on the Impact of Us Stock Market's Shock Due to Global Financial Crisis on Korean Financial Markets)
Park, Jinwoo
-
2019
Korean Abstract: 본 연구는 글로벌 금융위기에 따른 미국 주식시장의 충격이 한국 금융시장 특히 주식 및 외환시장에 미친 영향을 분석하였다. 특히 글로벌 금융위기 기간과 금융위기 전후 기간을 비교하였으며, 전체...
Persistent link: https://www.econbiz.de/10012901341
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