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English Abstract: The purpose of the study is to empirically investigate the various relationships between the bank … capital ratio and the corporate bank loans by using micro firm level data. We analyzed all non-financial listed companies in … Korea between 2002 and 2012. The results showed a positive relationship between bank capital ratio and the corporate main …
Persistent link: https://www.econbiz.de/10012867633
institutions should diversify their income sources and strengthen their risk management to cope with lower profitability. Finally …, authorities need to help households to reduce liquidity and price risk related to real estate by making reverse mortgages more …
Persistent link: https://www.econbiz.de/10012945349
nearer, incorporates an innovative risk measurement approach that is clearly distinguished from current international … background, this paper conducts a comparative analysis of Korea's Risk-Based Capital regime and the Solvency Ⅱ proposal, and … insurance liabilities, the methods of risk categorization and measurement, and Own Risk and Solvency Assessment and other …
Persistent link: https://www.econbiz.de/10012949046
Korean Abstract: 본 연구는 미국 예금보험공사(FDIC)의 SCOR모형을 응용하여 우리나라 의 부실징후 상호저축은행을 조기에 판별하기 위한 조기경보모형을 개발 하는 것을 목표로 하고 있다. 본 연구의 주요내용은 다음과 같다....
Persistent link: https://www.econbiz.de/10012949047
․선물시장 투자자들의 투자전략수립 및 위험관리(risk management) 뿐만 아니라 감독당국의 코스닥시장 활성화를 위한 정책 마련에 도움을 줄 수 있을 것으로 보여 진다 …
Persistent link: https://www.econbiz.de/10012901253
English Abstract: The possibility that a highly capitalized bank goes to bankruptcy due to an investment in a high risk … comprehensive approach. The literature suggests that a highly capitalized bank might increase risk due to less risk … the changing financial environments change the relationship between bank's risk-taking incentives and capitalization, and …
Persistent link: https://www.econbiz.de/10012901255
measuring counterparty credit risk (CCR) of OTC derivatives transactions: the standardized method (SM) and the internal model … is deemed to be a more sophisticated model for the purpose of risk management of banks, and banks are encouraged to …
Persistent link: https://www.econbiz.de/10012901288
Persistent link: https://www.econbiz.de/10012901295
Korean Abstract: 본 연구의 목적은 금융기업 경영진의 보수체계의 현실과 문제점을 살펴보고 그에 대한 원인분석과 효과적인 해결책 제시에 있다. 글로벌 금융위기가 장기화되고 있는 오늘날의 상황에서, 사실상 사명감과...
Persistent link: https://www.econbiz.de/10012901296
Korean Abstract: 본 연구의 목적은 한국과 미국의 부실금융기관정리방식과 파산재단의 종결기간에 대한 분석을 통하여 파산재단의 효율적인 관리방안을 제고시키는데 있다. 이를 위하여 1998년부터 2008년 9월까지 한국의 467개의...
Persistent link: https://www.econbiz.de/10012901297