학술논문
Korean Currency Crisis: The Financial Sector Fragility
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- 영문명
- 발행기관
- 서울대학교 경제연구소
- 저자명
- Jang-Yung Lee
- 간행물 정보
- 『Seoul Journal of Economics』Seoul Journal of Economics Volume 11 No.4, 483~504쪽, 전체 21쪽
- 주제분류
- 경제경영 > 경제학
- 파일형태
- 발행일자
- 1998.12.31
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국문 초록
영문 초록
This paper examines the behavior of various financial fragility indicators in Asian crisis countries during the five years preceding the crisis. The comparison with a control group composed of non-crisis countries shows that several banking pressure indices can be identified as useful leading indicators. including the bank loan-to-deposit ratios, the ratios of bank loans to GDP, and the ratios of banks loans to industrial production. Other measures of banking sector vulnerability, such as the large exposure to foreign exchange risk or volatility of key economic variables were of limited value in predicting the Asian crisis. Also, a closer examination of indicators of bank franchise value reveals that there did not exist incentives faced by bank managers for prudent behavior.
목차
Abstract
Ⅰ. Introduction
Ⅱ. Vulnerability of Financial System
Ⅲ. Inadequate Banking Supervision
Ⅳ. Conclusion
References
키워드
해당간행물 수록 논문
- The Meltdown of the Indonesian Economy in 1997-1998: Causes and Responses
- Korean Currency Crisis: The Financial Sector Fragility
- Non-Exchange Rate Adjustments in the Asian Crisis: The People's Republic of China and Hong Kong
- Coping with the Asian Financial Crisis: The Taiwan Experience
- The Korean Currency Crisis and the IMF Program: An Insider's View
- Japanese Financial Instability and Weaknesses in the Corporate Governance Structure
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