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비대칭 금리기간구조에 대한 실증분석 (An Empirical Analysis of Asymmetries in the Term Structure of Korean Government Bonds)
Kim, Kiho
-
2015
Korean Abstract: 장기금리와 단기금리 간의 차이를 나타내는 금리 스프레드 혹은 금리기간 구조는 경제주체들에 있어서 미래 인플레이션 및 경제활동에 대한 정보를 제공해 주는 주요 지표의 하나이다. 본고에서는 우리나라...
Persistent link: https://www.econbiz.de/10013026027
Saved in:
2
A se a yeon gu
Go lyeo dae hag gyo / A se a mun je yeon gu so
;
Go lyeo …
-
1958-: Seo ul : Go lyeo dae hag gyo chul pan bu
;
1958-: …
-
1.1958,1(März) - ; auch mit durchgehender Nr.-Zählung
Persistent link: https://www.econbiz.de/10000368921
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3
Han gug tong gye wol bo
Südkorea / Tong gye cheong
;
Südkorea / Tong gye cheong
-
Seo ul
;
서울
-
4.1962 -
Persistent link: https://www.econbiz.de/10000428540
Saved in:
4
Han gug gae bal yeon gu
Han gug gae bal yeon gu won
;
Han gug gae bal yeon gu won
-
2005-2015: Sejong : KDI
;
2005-2015: 세종 : KDI
;
…
-
Volume 27 (2005)-volume 37,supplementary issue …
Persistent link: https://www.econbiz.de/10009577452
Saved in:
5
KDI Jeong chaeg yeon gu
Han gug gae bal yeon gu won
;
Han gug gae bal yeon gu won
-
Seoul : Han gug gae bal yeon gu won
;
1995-2004: 서울 …
-
17.1995,2 - 26.2004 = Nr. 66-94
Persistent link: https://www.econbiz.de/10003631138
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6
통화정책 효과의 지역적 차이 (The Differential Regional Effects of Monetary Policy : The Korea Case)
Kim, Kiho
-
2015
Korean Abstract: 통화정책 효과는 지역적인 차이 없이 전국에 걸쳐 유사하다는 것이 학계의 암묵적인 가정이며, 이와 같은 인식 하에 이론적 분석 및 정책결정이 전국을 단위로 한 정책효과에 대한 분석에 바탕을 둔 경우가...
Persistent link: https://www.econbiz.de/10013026001
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7
연쇄와 반전의 변동성효과에 관한 실증연구 : CHARMA모형을 이용하여 (The Effects on Volatility of Sequences and Reversals-Applications of General CHARMA-)
Yoon, Jong-In
-
2019
Korean Abstract: 본 연구는 주가지수200 수익률을 대상으로 과거 충격의 연쇄와 반전이 변동성에 차별적인 영향을 미쳐 왔는가를 보이고자 하였다. 연쇄(sequence)는 과거 충격이 같은 방향으로 발생하였음을 의미하며...
Persistent link: https://www.econbiz.de/10012901287
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8
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
Korean Abstract: 본 연구는 포트폴리오 선택 및 이자율평형 이론에 근거하여 수익성 요인인 차익거래유인, 글로벌 리스크 및 국가 리스크를 중심으로 글로벌 금융위기 전·후 우리나라에 대한 외국인의 채권투자 결정요인 변화...
Persistent link: https://www.econbiz.de/10012915513
Saved in:
9
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
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10
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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