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ECONIS (ZBW)
34
EconStor
1
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글로벌 금융위기 전·후 외국인의 채권투자 결정요인 변화 분석 : 한국의 사례 (Analysis of Changes in Determinants of Foreigners′ Bond Investment Before and after the Global Financial Crisis: The Case of Korea)
Yu, Bok-Keun
-
2018
results show that arbitrage opportunities played a more important role in the pre-crisis period (2004-07), while
risk
factors … decreased after the crisis, which implies that the influence of variables other than arbitrage opportunities and
risk
factors …
Persistent link: https://www.econbiz.de/10012915513
Saved in:
2
실질환율의 비선형동학과 예측 분석 (Nonlinear Dynamics and Out-of-Sample Forecasts of Real Exchange Rates)
Chung, Sang-Kuck
-
2017
Korean Abstract: 본 논문에서는 실질환율의 비선형성을 검정하고 이를 이용해서 표본외 예측 분석을 하였다. 1975년 이후 선진 7개국의 데이터를 사용하여 실질환율데이터에 비선형성을 확인할 수 있었는데, 이러한 비선형성은...
Persistent link: https://www.econbiz.de/10012942562
Saved in:
3
International Reserve Accumulation : Balancing Private Inflows with Public Outflows
Han, Bada
;
Kim, Dongwook
;
Yun, Youngjin
-
2023
Korean Abstract: 본 연구는 신흥국에서 급격한 자본이동에 대한 정책수단으로 자주 이용되는 외환보유액 축적에 관한 새로운 이론을 제시하였다. 본 연구에서의 외환보유액 축적은 공공부문 자본유출(public outflows)로 사회적...
Persistent link: https://www.econbiz.de/10014256578
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4
Asian review of financial research
Korean Finance Association
-
Seoul, Korea : Korea Finance Association
-
Vol. 1, no. 1 (November 1988)-
Persistent link: https://www.econbiz.de/10012804955
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5
상품에서 자산으로: 권력으로서의 자본과 금융의 존재론
Suaste Cherizola, Jesús
-
2023
자산은 자본가 계급의 실천 및 사고방식을 형성하는 데 결정적인 개념이다. 하지만 자본 주의에 관한 비판적 분석은 상품교환을 자본주의 분석의 초석이라 승인하는 경향이 있다. 이 논문은 다른 접근법을 취한다. 나는...
Persistent link: https://www.econbiz.de/10014432067
Saved in:
6
미국 장기시장금리 변동이 우리나라 금리기간구조에 미치는 영향 분석 및 정책적 시사점 (The Effect of U.S. Long-Term Interest Rates on the Term Structure of Korean Interest Rates)
Kang, Kyu H.
-
2015
Korean Abstract: 글로벌 금융위기 이후 선진국 중앙은행의 양적완화정책으로 풍부해진 국제투자자금을 매개로 선진국과 신흥시장국간의 금리동조화 현상이 높아지고 있다. 특히 미 연준이 정책금리를 인상할 경우 글로벌...
Persistent link: https://www.econbiz.de/10013026004
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7
신용등급 하락 조건부 채권의 가치평가(A Practical Valuation of the Rating-triggered Bond)
Lee, Sang-Heon
-
2018
Korean Abstract: 본 연구는 발행자의 신용등급이 일정한 등급 이하로 하락할 경우 1) 높은 등급의 채권을 담보로 제공할 발행자의 의무 또는 2) 조기상환을 요구할 투자자의 권리가 발생하는 채권의 가치평가 방법을 실무적인...
Persistent link: https://www.econbiz.de/10012906291
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8
House Price Predictability and Demographic Structure : Evidence from a Long-horizon International Data (인구구조와 주택가격 예측: 장기 패널데이터를 이용한 실증분석)
Kim, Seong-Hoon
;
Moon, Seongman
-
2021
English Abstract: We examine the predictability of real house price movements along with demographic shifts, using a long time series international panel data set that covers 17 advanced countries over the period of 1950-2015. Since demographic structures change slowly and housing markets adjust...
Persistent link: https://www.econbiz.de/10013220875
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9
변인 선택 방법을 이용하여 선별된 변수들의 국내 금리 변동성에 대한 영향 분석 (Analysis of the Response of Interest Rate Volatility to Covariates from Variable Selection Methods)
Lee, Jin
-
2023
Korean Abstract: 본 연구는 국내 금리 변동성의 예측 변인을 선별하고 선택된 변수와 금리 변동성 간의 관계를 실증적으로 분석한다. 이를 위하여 우리는 2010년 1월부터 2022년 5월까지의 국고채 금리 변동성과 30개의 국내외 거시...
Persistent link: https://www.econbiz.de/10014353769
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10
예금보험기금의 미국 외 선진국 국채 운용 필요성 검토 (On the Extension of the Korea Deposit Insurance Fund Operation to Government Bonds in Developed Countries)
Kang, Kyu H.
;
Kim, Dongwhan
-
2023
overseas bonds was partially improved in terms of
risk
-return ratio when the target of overseas bond investment was expanded to …
Persistent link: https://www.econbiz.de/10014346643
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