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베이지안 기법을 활용한 최적 외환포트폴리오 연구(Bayesian Analysis of Optimal Foreign Currency Portfolio Selection)
Kim, Yunjung
-
2019
Korean Abstract: 본 연구는 최적 외환 포트폴리오 선택 과정에 예측 모형의 불확실성을 반영하기 위한 베이지안 계량분석기법을 제시한다. 개별 자산의 변동성 및 자산간 상관관계 예측을 위해 상관관계가 없는 모형,...
Persistent link: https://www.econbiz.de/10012901391
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2
설비자본재 기술진보가 근로유형별 임금 및 고용에 미치는 영향 (The Effect of Investment-Specific Technology Shocks on the Gap of Wage and Employment by Workers′ Skill or Tasks)...
Kim, Namju
-
2018
Korean Abstract: 일반적으로 임금과 고용의 변화는 경기변동, 노동시장 제도변화, 교육수준 향상 등 노동수요 및 공급에 영향을 미치는 여러 요인의 영향을 받는다. 이중 생산기술의 변화는 생산과정에서의 노동투입 결정에...
Persistent link: https://www.econbiz.de/10012913702
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3
제국주의와 금융주의 : 어느 결합체에 관한 이야기
Bichler, Shimshon
;
Nitzan, Jonathan
-
2023
Over the past century, the nexus of imperialism and financialism has become a major axis of Marxist
theory
and praxis …
Persistent link: https://www.econbiz.de/10014429237
Saved in:
4
상태공간 벡터오차수정모형을 이용한 월별 GDP 추정 : 깁스표본추출 접근 (Estimating Korean Monthly GDP and Forecasting Korean GDP:Unobserved Component VECM and Gibbs Sampling Approach)...
Kim, Kiho
-
2020
English Abstract: This paper suggests a Gibbs sampling
estimation
of an unobserved component cointegrated VAR Model to … smaller or equivalent to the
estimation
results of Chow-Lin (1971), Denton (1971), Fernandez (1981), and Litterman (1983).The …
Persistent link: https://www.econbiz.de/10012842668
Saved in:
5
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
in the Korean yield curve dynamics and its relationship with the U.S. interest rate are considered. Our
estimation
…
Persistent link: https://www.econbiz.de/10013026004
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6
금융시장 변동성의 경기 예측력 (Does Financial Market Volatility Predict Macroeconomic Fluctuations?)
Woo, Joon Myung
-
2015
Korean Abstract: 금융시장이 경기에 선행하여 움직이는 것은 잘 알려진 사실이다. 특히 경기가 위축될 가능성이 큰 경우 불확실성이 증가하며 금융시장 변동성이 확대되는 등 경기상황에 따라 금융시장 변동성이 다른 양상을...
Persistent link: https://www.econbiz.de/10013026205
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7
Shocks, Frictions, and Inequality in Korean Business Cycles
Lee, Seungcheol
;
Luetticke, Ralph
;
Ravn, Morten O.
-
2023
Korean Abstract: 본 논문에서는 가계의 이질성과 소규모 개방 경제 특성을 동시에 고려한 뉴케인지언 모형을 구축하고 베이지안 추정 기법과 한국의 데이터를 이용하여 모수를 추정하였다. 동 모형은 소득 위험(uninsurable...
Persistent link: https://www.econbiz.de/10014261990
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8
국면전환모형을 이용한 선진국 채권시장간 변동성 행태분석 (Regime Switching Volatility Analysis on International Bond Markets : Evidence from Developed Countries)...
Park, Yongjin
-
2019
existence of volatility and its spillover effect. From the
estimation
results, we could find that the expected duration of high …
Persistent link: https://www.econbiz.de/10012901258
Saved in:
9
비교역재 모형을 이용한 최근의 수출호조 및 내수부진에 관한 분석 (An Analysis of Brisk Exports and Sluggish Domestic Demand Using a Nontradables Model : The Case of Korea)...
Chang, Dongkoo
-
2019
macroeconomic
theory
. The depreciation of the won after the currency crisis along with economic liberalization raised the relative …
Persistent link: https://www.econbiz.de/10012894640
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10
한국금융시장의 국내외 연관성 분석 (Decomposition of Domestic and International Linkages of the Korean Financial Markets)
Lee, Taiki
-
2017
Korean Abstract: 본 연구는 금융시장간 연관관계를 분석하는 데 유용한, Rigobon(2003)의 이분산을 통한 식별방법(Identification through Heteroskedasticity)을 이용하여 2000년 이후 한국의 단기금융시장, 채권시장, 주식시장 및 외환시장의...
Persistent link: https://www.econbiz.de/10012942714
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