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In this paper, I give a detailed account of the creation and the evolution of Korea Investment Corporation (KIC) – a sovereign wealth fund established in 2005 by the Korean government. In doing so, I highlight three of its unique features. First, the case of KIC effectively shows the problem...
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Risk characteristics of the Korean financial market have changed dramatically during the decade following the financial crisis in 1997. First of all, credit risk in the large corporate sector has decreased significantly after turmoil in the corporate bond market in 1999 and 2000. Second, credit...
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This paper investigates the reason why Korea's export suddenly and rapidly expanded in the early 1960s. By doing so, it hopes to throw light on the unresolved issue, whether it was market-liberalizing or interventionist policies that explain Korea's rapid growth and industrialization. Evidences...
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