2009 KDI Journal of Economic Policy Conference on “Financial Crisis, Recovery and Sustaining Growth” - KDI 한국개발연구원 - 연구 - 보고서
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기타보고서 2009 KDI Journal of Economic Policy Conference on “Financial Crisis, Recovery and Sustaining Growth” 2009.12.31

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Series No. 2009

기타보고서 2009 KDI Journal of Economic Policy Conference on “Financial Crisis, Recovery and Sustaining Growth” #세계경제 및 경제위기 #위험 관리 #국제금융

2009.12.31

  • KDI
    한국개발연구원
목차
CHAPTER 1-1
WILL THE U.S. BANK RECAPITALIZATION SUCCEED? LESSONS FROM JAPAN  I. Introduction
 II. Macroeconomic Conditions in the U.S. and Japan
 III. Japanese Asset Management Companies and Recapitalization Programs
 IV. The U.S. Crisis and Responses
 V. Conclusions
 References

CHAPTER 1-2
 I. Introduction
 II. An Accounting Framework
 III. Prescriptions
 IV. Implications for Korea
 V. Concluding Remarks
 References

CHAPTER 1-3
Sovereign Wealth Meets Market Failure:
 I. Introduction
 II. Origins of The Financial Crisis
 III. A Way Forward: Mutual Wealth Funds
 IV. Governance Structure of Mutual Wealth Funds
 V. Rescuing the Global Environment
 VI. Conclusions
 References
 Comments on “Sovereign Wealth Meets Market Failure: Government Participation versus Government Intervention in Markets”

CHAPTER 2-1
Between Two Whales: Korea’s Choice in the Post-Crisis Era
 The 1997 Asian Financial Crisis and Institutional Reform in Korea
 The Current Crisis’s Economic Impact and Government Response
 Yet Another Variable: The Emergence of China
 Trade in Parts and Cross-Border Production Networks between Korea and China
 The Effect of the Crisis on Korea’s External Economic and Strategic Relations
CHAPTER 2-2
Economic Crisis and Intergenerational Economy:
 I. Introduction
 II. Background
 III. Results
 IV. Conclusion
 References
 Comments on "Financial Crisis and Intergenerational Economy: Lessons for Korea’s 1997 Financial Crisis"

CHAPTER 2-3
Growth of Felonies after the 1997 Financial Crisis in Korea
 I. Introduction
 II. Theoretical Framework of Criminal Deterrence Policy
 III. Trend of Felony
 IV. Criminal Deterrence Policy of the Korean Government
 V. Conclusion
 References
 Comments on “Growth of Felonies after the 1997 Financial Crisis in Korea”
CHAPTER 3-1
Walking after the Elephant of Financial Crisis
 I. Introduction
 II. The story
 III. The logic of bail out
 IV. Arithmetic of Securitization: Risk Illusion
 V. Conclusion
 References
 Exhibit 1.
 Comments on "Walking after the Elephants of Financial Crisis"

CHAPTER 3-2
Was There an Explosive Bubble in U. S. Stock Prices before the Recent Stock Market Crash?
 I. Introduction
 II. A Review of the Literature
 III. The Theoretical Model
 IV. Empirical Analysis
 V. Concluding Remarks
 References
 Comments on “Was There an Explosive Bubble in U. S. Stock Prices before the Recent Stock Market Crash?”
 References

CHAPTER 3-3
Testing Financial Contagion with Time-Varying Correlation of Heteroscedastic Asset Returns
 I. Introduction
 II. Related Literature
 III. The Model
 IV. Empirical Results and Interpretations
 V. Test for the 1994 Mexican Peso Crisis and the 1987 U. S. Market Crash
 VI. Summary and Conclusion
 Appendix
 References
 Comments on “Testing Financial contagion with Time-Varying Correlation of Heteroscedastic Asset Returns”

CHAPTER 3-4
Forecasting Time-varying Densities of Inflation Rates:
 I. Introduction
 II. Econometric Methodology: Functional Autoregression
 III. Data and Descriptive Statistics
 IV. Forecasting the UK Inflation Rates
 V. Conclusion
 References
 Discussions on “Forecasting Time-varying Densities of Inflation Rates: A Functional Autoregressive Approach”

CHAPTER 4-1
Global Crisis, Official Bailout and the Long-run Demand for Official Lending I. Introduction
 Appendix
 References

CHAPTER 4-2
외환관리정책의 재조명과 바람직한 외환정책
 I. 서 론305
 II. 외환위기 이후 우리나라 외환시장 동향
 III. 외환위기 이후 외환관리 정책 평가
 IV. 향후 외환정책 방향 검토
 V. 결론 및 시사점
 <부록> 외환위기 이후 외환관리 정책 주요 내용
 References
 Comments on " A Reevaluation of Foreign Exchange Policy and Future Policy Direction"

CHAPTER 4-3
자본시장의 글로벌화와 한국 통화정책의 독립성
 I. 서 론
 II. 해외자본유입에 대한 정책대응
 III. 통화정책의 독립성에 대한 실증분석
 IV. 결 론
 References
 Discussions on “Capital Market Globalization and Monetary Policy Independence in Korea”

CHAPTER 4-4
Financial Market Integration in East Asia: Status and Options
 I. Introduction
 II. Interest differentials in East Asia
 III. Determinants of Interest Differentials
 IV. Implication for Regional Monetary Cooperation
 V. Conclusion
 References
 Annex: Table for transforming the S&P ratings into numerical values
관련 자료 ( 9 )
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한국개발연구원의 본 저작물은 “공공누리 제3유형 : 출처표시 + 변경금지” 조건에 따라 이용할 수 있습니다. 저작권정책 참조

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