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옵션모형을 이용한 은행부실의 조기경보모형 구축 Modeling Early Warning Signal for the Bank Vulnerability Using an Option-Based Approach
Chun, Suneae
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2019
Korean Abstract: 본고는 1995∼2001년 중 우리나라 일반은행의 주가지수 및 재무제표를 이용하여 옵션가격모형에 기초한 부도거리를 추정하였다. 추정된 부도거리와 은행의 수익성 및 건전도 지표와의 관계를 분석한 결과, 은행의...
Persistent link: https://www.econbiz.de/10012901252
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Fund Run과 시스템리스크 발생가능성에 대한 실증분석 (An Empirical Investigation on Fund Run and Systemic Risk in Korean Mutual Fund Market)
Kim, Bong-Han
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2019
Korean Abstract: 펀드런은 대량환매와 펀드자산가치의 하락이 서로 상승작용을 일으키는 새로운 금융위기의 일종으로, 위기 중에는 세 가지 징후가 관찰된다. 첫째 일정기간 펀드자금이탈이 지속되며, 둘째 자금이탈 규모는...
Persistent link: https://www.econbiz.de/10012901295
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