• 제목/요약/키워드: Business diversification

검색결과 330건 처리시간 0.023초

전기실의 면적을 결정하는 제 요소의 분석(22.9Kv class) (An Analysis of Various Factors that Determines the Size of Electric Room(22.9Kv class))

  • 어익수
    • 대한전기학회:학술대회논문집
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    • 대한전기학회 2001년도 하계학술대회 논문집 A
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    • pp.443-445
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    • 2001
  • As the new large buildings are continuously being built with the advanced technology and skills, an adequate size of electric room needs to be obtained so that engineers establish an efficient and reliable system in the electric room. Considering the current capacity, its expansion and its connecting system, the final size of it should be determined in order to bring an effective use of the building. Usually the extension of electricity capacity is on the increase after construction and it comes from the lack of scientific evaluation on the electric room. Later when the expansion of computer and important electric equipment that needs much capacity is impossible, it will cause a great deal of damage to the renting business of the building as well as becomes the unstable factors of the whole system. Therefore, it is important to have the exact method of calculating the effective size of electric room, the heart of the building, especially when the value of land price is very high. In addition, it should be calculated in an accurate way due to the diversification of the system and the compact size of the electricity equipment. However, the research on this area and the comparison and evaluation of the size after construction have not been made enough and the results of them have not been applied when calculating a new size of electric room. Accordingly, this study examines three methods prescribed in the standards of electricity installation technology through case analysis and suggests substantial data by system, capacity, and purpose.

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한국 벤처캐피탈의 특성과 투자성과 (The Performances and Character of Korean Venture Capital)

  • 김종권
    • 대한안전경영과학회:학술대회논문집
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    • 대한안전경영과학회 2002년도 추계학술대회
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    • pp.285-294
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    • 2002
  • 우리나라와 국가 규모가 비슷한 이스라엘의 경우에는 벤처캐피탈이 정부주도로 출범한 후 육성71었다. 이러한 벤처캐피탈의 특성은 창업자가 연구개발에만 전념할 수 있어서 제품의 품질을 높일 수 있으며 동시에 사업이나 제품 완성도를 높일 수 있는 부가가치가 큰 중요한 금융업이 될 전망이다. 이번 연구에서는 이러한 벤처캐피탈이 가지고 있는 위험특성에 대한 분석과 위험을 고려한 투자성과 평가를 행하였다. 이번 연구에서는 선행연구와 동일하게 비체계적 위험이 체계적 위험보다 큰 것으로 나타났는데 이는 소수의 지역이나 업종에 집중투자한 결과로 보인다. Sharpe 평가지표의 결과로는 종합주가지수나 코스닥지수보다 열등한 것으로 분석되어 우리나라 벤처캐피탈의 열악함이 대변되고 있는 것을 알 수 있었다.

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Commodity Prices, Tax Purpose Recognition and Bitcoin Volatility: Using ARCH/GARCH Modeling

  • JALAL, Raja Nabeel-Ud-Din;SARGIACOMO, Massimo;SAHAR, Najam Us
    • The Journal of Asian Finance, Economics and Business
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    • 제7권11호
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    • pp.251-257
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    • 2020
  • The study investigates the role of commodity prices and tax purpose recognition on bitcoin prices. Since the introduction of bitcoin in 2008, emphasis has focused on economists, policy-makers and analysts drastically increasing bitcoin's accessibility and commodity values (Dumitrescu & Firică, 2014). This study employs GARCH and EGARCH from ARCH/GARCH family on daily nature data. We measure the volatile behavior of bitcoin by employing auto-regressive conditional heteroscedasticity model with the aim to explore the relationship between major commodities and bitcoin volatility. We focus on major commodities like gold, silver, platinum, and crude oil to be regressed with bitcoin. The daily prices of commodities were retrieved from www.investing.com and bitcoin prices from www.coindesk.com for the period from 29April 2013 to 16 October 2018. Results confirmed the currency's long-term volatile behavior, which is due to its composition and market dynamics, whereas the existence of asymmetric information effect is not confirmed. Tax recognition by other countries may in future help in controlling the volatility as bitcoin is not a country-specific security. But, only silver impacts on volatility in comparison to oil prices and platinum, which is due to its similar features with gold. Eventually, bitcoin can be used for risk diversification and money making.

The Determinants of Listed Commercial Banks' Profitability in Vietnam

  • PHAN, Hai Thanh;HOANG, Tien Ngoc;DINH, Linh Viet;HOANG, Dat Ngoc
    • The Journal of Asian Finance, Economics and Business
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    • 제7권11호
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    • pp.219-229
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    • 2020
  • The study investigates the factors affecting the profitability of listed commercial banks in Vietnam. Survey data for this research were collected from 10 Vietnamese listed commercial banks for the period from 2008 to 2018. In the study, we have built a model of econometric regression with the dependent variable being listed commercial banks' profitability results measured through ROA. The research methods used include descriptive statistics, IV regression and OLS regression analysis, and the authors carried out the model verification with Stata 14 software. The results showed that operating efficiency, loans size, retail loans ratio, state ownership, inflation rate, and GDP growth are factors that have a positive impact on profitability On the other hand, variables such as capital size, credit risk, liquidity risk, bank size, and revenue diversification are statistically insignificant; hence, these variables are not statistically adequate to indicate the influence of those independent variables to banks' profitability. The findings of this study suggest that the quality of assets should be considered in the context that bad debt risks come from lending heavily to the real estate sector. Meeting Basel II's capital compliance requirements is relatively difficult for small listed commercial banks compared to bigger listed commercial banks in Vietnam.

우크라이나 농업투자사업의 경제성에 관한 연구 (A Study on Economy of Agricultural Investment Business to the Ukraine)

  • 윤준상;이은규;박영순;김성록
    • 농촌지도와개발
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    • 제21권1호
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    • pp.117-142
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    • 2014
  • 이 연구는 우크라이나의 농업투자환경을 조사 분석하고, 이를 바탕으로 대 우크라이나 농업투자의 경제성을 분석하는 것이다. 우크라이나는 CIS국가 중 약 60년간 러시아의 곡창지대로 활용되었을 만큼 농업환경이 우수하며, 농업부문에 대한 자본투자도 매년 증가하는 추세이다. 따라서 우크라이나 농업투자는 경제성뿐만 아니라 해외농업투자지역의 다양화와 식량안보 차원으로 접근해야할 것이며, 정부와 민간이 함께 협력하여 진출하는 방안을 모색하여야 할 것이다.

Validating Twin Deficit Hypothesis: The Zambian Case

  • Mahuni, Kenneth
    • Asia Pacific Journal of Business Review
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    • 제1권2호
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    • pp.1-16
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    • 2017
  • The fundamental goal of the research was to verify if the Twin Deficits Hypothesis holds for the economy of Zambia using time series data from 1980-2014. The current account and budget deficit were employed as key variables. The exchange rate was also used as a transmission mechanism to see how it contributes in the nexus. Cointegration tests confirmed a long run association of the variables. After fitting the VECM model, Granger causality tests confirmed the existence of twin deficits for Zambia. The results supported uni-directional reverse causality. The exchange rate was shown to be more significant in the long run than in the short run. The implosion of the time series as shown by the predicted cointegration equation implies that unless drastic measures are taken to cure the deficits, using the current account as the major target variable, twin deficits will persist for some time. The major policy implication of this research is that given that Zambia is a primary commodity-dependent developing country subsisting largely on copper revenues to sustain the economy, there is a need to move away from "copper addiction," given the recent volatility of earnings of primary commodities (e.g. through diversification of the economy, import substitution, and other strategies).

학교시설 유지관리 인력운영 구조체제 요구 분석 (Analysis of Human Resource Management System Requirement for School Facility Maintenance)

  • 최병묵;이용환
    • 교육녹색환경연구
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    • 제15권3호
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    • pp.1-14
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    • 2016
  • 학교시설은 2000년도에 들어서면서 다양화, 기계화, 친환경적으로 급속히 변화를 맞이하고 있다. 그러나 교육시설 유지관리는 과거의 단순한 유지관리 방식을 유지하고 있다. 시설유지관리의 급격한 변화는 2005년도부터 임대형민간투자사업(BTL)의 등장으로 교육시설에도 민간의 유지관리 방식이 도입되어 변화를 계속하고 있다. 그러므로 본 연구에서는 학교시설유지관리체제의 재구조화를 위한 인력운영 측면의 효과적인 구조체제 개선방안의 제시하고자 하였다.

물류센터 이전 시 재고 이관 프로세스 개발 (A Stock Transfer Process Development for Distribution Center Relocation)

  • 지운식;오인호
    • 대한안전경영과학회지
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    • 제20권3호
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    • pp.37-46
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    • 2018
  • According to enhancement of roles and functions of enterprises' distribution centers, recent trend of distribution centers are specialization and diversification which have generated lots of new distribution center building or expansion of the existing ones and led attention on stock transfer importance in case of distribution center relocation. This thesis is a study for how to reduce stock transfer leadtime in order to minimize business risk and how to increase inventory accuracy when stock ownership is transferred in case of distribution center relocation, and to provide inventory accuracy management methods and inventory in/out management types, detailed definition to evaluate level for inventory accuracy management and pros/cons by inventory in/out management type assuming 'the higher inventory accuracy before stock transfer, the shorter stock transfer leadtime when distribution center is relocated'. This thesis provides detailed procedure to secure an absolute stock transfer leadtime and process to confirm hugh inventory accuracy by stakeholders which should be sloved by Task Force Team for stock transfer in case of distribution center relocation.

자동차 메이커의 디자인 아이덴티티를 통한 브랜드 이미지 제고 (Improvement of the Brand Image for Automakers By Design Identity)

  • 이호숭
    • 디자인학연구
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    • 제12권4호
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    • pp.161-170
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    • 1999
  • 근래 소비자의 제품 선택은 단순한 소득 계층별이 아니라 다양한 라이프스타일에 따라서 변화되고 있으며, 그에 따라 수요의 다양화, 상품의 다품종화가 모든 산업에서 전개되고 있다. 즉 기업은 다양화, 다품종화 속에서 얼마나 생산성을 실현하느냐에 따라 미래 기업의 운명이 좌우되는 것이다. 본 논고에서는 제품개발에 있어서 상품성이 높은 제품개발에는 개발 과정에서의 표적시장 명확화가 불가결하다는 점에 인식에서 출발, 메이커만의 독자적 아이덴티티를 구축하여 브랜드 이미지를 형성하고, 그에 따른 브랜드 역할과 가치에 대해 자동차 사례를 중심으로 논의한 것이다. 이러한 브랜드 고유의 일관된 디자인 아이덴티티를 정립, 적용함으로서 상징성이나 감성적 성향이 점차 강조되어 가고 있는 제품속성에 대응, 고객이 만족하는 기대수준 이상의 가치를 제공하려는 데 의미가 있다.

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The Impact of Operating Cash Flows on Financial Stability of Commercial Banks: Evidence from Pakistan

  • ELAHI, Mustahsan;AHMAD, Habib;SHAMAS UL HAQ, Muhammad;SALEEM, Ali
    • The Journal of Asian Finance, Economics and Business
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    • 제8권11호
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    • pp.223-234
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    • 2021
  • This study aims to examine whether operating cash flows influence banks' financial stability in Pakistan. The study employed annual panel data collected from annual reports of 20 commercial banks listed on the Pakistan Stock Exchange for the year 2011 to 2019. Free cash flow yield was taken as the dependent variable while cash flow ratio was selected as the independent variable, and net interest margin, income diversification, asset quality, financial leverage, the cost to income ratio, advance net of provisions to total assets ratio, capital ratio, financial performance, breakup value per share and bank size were taken as control variables. The study performed ordinary least square technique, random and fixed effects models, Hausman test, Lagrange multiplier test, descriptive and correlation analysis. Results showed that operating cash flows and net interest margin significantly and positively influenced banks' financial stability while the cost to income ratio and advances net of provisions to total assets ratio significantly and negatively associated with banks' financial stability. To improve financial stability, banks should become more cost-effective and enhance their liquidity levels by lowering lending activities. In the future, it would be useful to compare commercial and investment banks, also Islamic and conventional banks in the same research setting.