Contents

금융그룹화와 금융위험: 실증분석 및 정책과제

함준호

DC Field Value Language
dc.contributor.author함준호-
dc.contributor.other김준경-
dc.date.accessioned2016-07-27T06:43:05Z-
dc.date.available2006-07-20-
dc.date.available2016-07-27T06:43:05Z-
dc.date.issued2006-06-30-
dc.identifier.other1213-
dc.identifier.urihttps://archives.kdischool.ac.kr/handle/11125/19188-
dc.description.abstractThis paper studies implications of financial conglomeration for both financial risk of individual conglomerates and systemic risk potential in post-crisis Korea. Our analyses suggest that we cannot conclude that financial conglomerates are taking on highe-
dc.description.tableOfContentsI. Introduction  II. The Rise of Financial Conglomerates in Korea   1. Resolution of Distressed Institutions and Financial Consolidation   2. Concentration of the Financial Industry in Korea  III. Financial Consolidation and Changing Risks-
dc.languageen-
dc.publisher한국개발연구원-
dc.publisherKorea Development Institute-
dc.relation.isPartOf9695-
dc.rightsCC BY-NC-ND 2.0 KR-
dc.rights.urihttp://creativecommons.org/licenses/by-nc-nd/2.0/kr/-
dc.title금융그룹화와 금융위험: 실증분석 및 정책과제-
dc.title.alternativeRisks and Supervisory Challenges ofFinancial Conglomerates in Korea-
dc.typeArticle-
dc.subject.jelFinancial Institutions and Services-
dc.subject.jelBanks • Depository Institutions • Micro Finance Institutions • Mortgages-
dc.subject.jelGovernment Policy and Regulation-
dc.relation.startpage145-
dc.relation.lastpage191-
dc.relation.volume28-
dc.relation.no1-
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