• 제목/요약/키워드: Economic Consistency

검색결과 98건 처리시간 0.021초

The Economic Consistency and the Creditworthiness of Borrower: the Methodical Features of Analysis Using the Concentric Matrix Models

  • VYBOROVA, Elena Nikolaevna
    • 동아시아경상학회지
    • /
    • 제8권4호
    • /
    • pp.45-65
    • /
    • 2020
  • Purpose - This paper is to analyze the system and the models of financial analysis in the assessment of economic consistency and the creditability of borrower. To test the process of complex express-analysis, it is utilized by the concentric matrix models by using the matrix of 5×5.. Research design, data, and methodology - The estimation of economic consistency, the creditworthiness, the complex express-analysis with application of concentric matrix models were carried out on the basis of data of the report for the 2017 of corporations POSCO and in the first half of the 2018 Daewoo Shipbuilding & Marine Engineering of South Korea. Results - This paper focused on the unbalance of the corporate financial structure (capital, receivable) and the assessment of sustainability development, taking into account the liquidity, solvency, financial sustainability and economic viability of the enterprise. Conclusions - this paper also consider the theoretical means of regulating receivables. The material is presented in the pedagogical context and appendix of the conclusion.

AHP를 이용한 농업생산기반정비사업 타당성평가 개선방안 (Revision of Feasibility Evaluation Guideline for Agricultural Infrastructure Improvement Project Using AHP Approach)

  • 윤성욱;이석주;이한성;정원호
    • 농촌계획
    • /
    • 제25권2호
    • /
    • pp.35-45
    • /
    • 2019
  • This study revises current feasibility evaluation guideline for agricultural infrastructure improvement project considering recent changes in social and economic environment in rural area. We use an AHP(Analytic Hierarchy Process) approach to consider qualitative evaluation items in policy enforcement and balanced regional development as well as quantitative items in current economic analysis in the process of feasibility evaluation and decision making. The criteria system is composed of three level hierarchy. In the first level which consists of economic analysis, policy analysis, and regional development analysis, economic analysis was ranked top with relative weight of 0.45 and regional development analysis the lowest with 0.22. In the second level which consists of three evaluation items under policy analysis, consistency in policy enforcement, risk factors, and special evaluation factors, consistency in policy enforcement was ranked top. Finally, 13 detailed evaluation items in the third level were surveyed and ranked by using a comprehensive criticality vector. The result shows that the three most important evaluation items are 'degree of underdevelopment', 'spill-over effect of regional economy' and 'consistency with related planning and policy direction'.

Impact of Economic Value in the O2O Distribution Channel on Brand Attractiveness and Performance

  • Seok-Beom, CHOI;Hye-Young, JOO;Hokey, MIN;Qaiser Farooq, DAR;Young-Hyo, AHN
    • 유통과학연구
    • /
    • 제21권2호
    • /
    • pp.7-20
    • /
    • 2023
  • Purpose: With the unique feature of O2O, consumers are now able to check the profile of the services and products online and then consume them in offline venues or vice versa. This study provides motivation and practical implications about online-to-offline (O2O) distribution channels and investigates the relationship between economic values, service consistency and brand identity attractiveness in the O2O distribution channel. Then identify the impact of brand identity attractiveness on the performance (reputation and reuse intention). Research design, data, and methodology: Structural equation modeling (SEM) has been used to investigate the relationship between economic value and brand identity attractiveness, which affects the reputation and reuse intention of services in O2O. Results: Empirical results show the positive and significant impact of economic value and service consistency on brand identity attractiveness which results the positive and significant impact on performance (reputation and reuse intention) in O2O. Conclusion: In the O2O distribution channel, economic value is an important aspect for the attractive image and brand identity. On the other side, brand identity attractiveness is important for the bright future of O2O services, continuous growth, achieving the distinct goal, keeping good promises with customers, and a better reputation of O2O services in distribution channels.

수학과 교육과정과 고등학교 <경제수학> 교과서의 일관성 분석 연구 (Analysis Study on the Consistency of the Curriculum of Mathematics and Textbooks)

  • 서보억
    • 한국수학교육학회지시리즈E:수학교육논문집
    • /
    • 제34권3호
    • /
    • pp.373-391
    • /
    • 2020
  • 본 연구는 2015 개정 교육과정에서 처음으로 고시한 <경제수학> 과목의 교과서에 대한 분석 연구이다. <경제수학> 교과서는 상경계열을 지원하는 학생을 위해 개발된 최초의 교과서라는 면에서 교육적 의의가 매우 높다. 이에 본 연구에서는 <경제수학> 교과서가 교육과정 개발자가 제시하고 교과서 인정 기관에서 구체화한 교과서 편찬상의 유의점과 일관성이 있는지 분석하고, 국가에서 고시한 수학과 교육과정과 일관성이 있는지 분석한다. 본 연구에서의 일관성에 대한 분석 결과 <경제수학> 교과서의 내용은 부분적으로 일관성이 있지만, 그렇지 않은 부분도 다수 나타났다. 본 연구의 결과로 볼 때, 향후 고등학교 선택과목의 검·인정에 있어 보다 철저한 기준 마련과 일관성을 유지하기 위한 구체적인 기준의 제시가 요구된다.

한국 농업 관개배수사업의 경제성 평가를 위한 지표 개발 -한국과 일본의 사례를 중심으로- (Development on Benefit Indicators of Economic Evaluation of Agricultural Irrigation and Drainage Project -A Case Study between Korea and Japan-)

  • 백승우;정안성
    • 한국유기농업학회지
    • /
    • 제21권4호
    • /
    • pp.501-522
    • /
    • 2013
  • This study has performed comparative analysis on benefit indicators in agricultural irrigation and drainage project cases between Korea and Japan. The irrigation and drainage project with publicity should do economic analysis of direct benefit factors as well as indirect benefit factors. However, traditional economic evaluations are used that benefit factors are lack of consistency and focused on direct benefits. Therefore, the purpose of this study was to develop indicators for the economic evaluation of irrigation and drainage projects. We conducted a case study between Korea and Japan. The resulting benefit factors was divided into direct factors and indirect factors. The direct benefit factors were increase in income, cost savings. The indirect benefit factors were protection of property due to flooding, agricultural promotion, aesthetic improvement. The implications of this study are that the indicators of economic analysis can be evaluated and easily applied. Moreover, these indicators could promote the feasibility of economic analysis.

Economic Globalization and Financial Development: Empirical Evidence from India and Sri Lanka

  • BEHERA, Chinmaya
    • The Journal of Asian Finance, Economics and Business
    • /
    • 제8권5호
    • /
    • pp.11-19
    • /
    • 2021
  • The paper examines the nexus between economic globalization, financial development and institutional reform in India and Sri Lanka during the period 1990-2017. Using the panel ARDL method, the study finds the long-run relationship between financial development, economic globalization, and institutional reforms. From the short-run equation, the study finds the negative and statistically significant impact of economic globalization on financial development in India whereas Sri Lanka has a positive impact of institutional quality on financial development. Then, the study finds no short-run causality between financial development, economic globalization and institutional reforms. However, the study finds bi-direction strong causality between economic globalization and financial development. Further, the study finds uni-directional strong causality from institutional quality to financial development and economic globalization. Moreover, there is an existence of long-run causality between financial development, economic globalization and institutional quality. For the robustness of the results, the study considers the financial market as a proxy for financial development. Then, the study applies the panel ARDL test and find the consistency in the results. The policymakers in India and Sri Lanka should focus on institutional reforms so that it can reap the benefit of economic globalization. In turn, the quality of institutional reforms can thereby lead to financial development.

The Impact of Financial Integration on Economic Growth in Southeast Asia

  • Bong, Angkeara;Premaratne, Gamini
    • The Journal of Asian Finance, Economics and Business
    • /
    • 제6권1호
    • /
    • pp.107-119
    • /
    • 2019
  • This paper examines the impact of financial integration on economic growth in Southeast Asia over the period 1993-2013. This paper further investigates whether the relationship depends on the level of financial and economic development, government corruption, and macroeconomic policy. These questions raise important issues both from a theoretical and a policy perspective. We employ the generalized methods of moment (GMM) in the dynamic panel estimation framework to analyse several factors, including initial income, initial schooling, financial development, inflation, trade openness, corruption, and financial crisis. The study further analyzes the data using the EGLS model to examine the consistency of the GMM model. We found that financial integration has a significant positive effect on economic growth in Southeast Asia. Our findings suggest that increasing financial integration could improve the productive capacity of the economy, including more investments and efficient allocation of capital, and thus enhancing economic growth in this region. More specifically, the results suggest that the government should work towards eliminating corruption and stabilizing macroeconomics in order to enhance financial integration and economic growth. This paper sheds new insights on a better evaluation of the past and present theorizing on the subject of financial integration and economic growth; especially, in Southeast Asia.

주택 금융환경이 주택가격에 미치는 영향에 관한 연구 -수도권을 중심으로- (A Study of about the Influence of House Price on Housing Financial Environment -The Case of Seoul Metropolitan Area-)

  • 김영선
    • 경영과정보연구
    • /
    • 제25권
    • /
    • pp.321-337
    • /
    • 2008
  • The house price rise suddenly is not only Economic stability but economic, mental state of a heavy burden to people. This paper is a house finance environment analyzed in this research about the rise factor of the house price and the result to present the plan to the natural disposition. The financial institute has an influence on the disguised demand extension of the house and The mortgage Lending in commercial Banks with the earnings as the stability high than the industry loaning. A house finance environment changes and will go from economic factor of the variety of the life style, the housing conditional according to the income level, a children education condition, and the population structure many this little. The disposition of the house need changes according to this and will have an influence on the house price. Necessary for a house market environment house policy of the market need which the consistency reflects so that we are suitable and is desired.

  • PDF

한국 계층갈등의 지형과 공감사회: 코로나 시대의 극복방안 (Class Conflict and Empathetic Society in Korea: Crisis Management in the COVID-19 Era)

  • 서문기
    • 한국경제지리학회지
    • /
    • 제23권3호
    • /
    • pp.197-208
    • /
    • 2020
  • 본 연구에서는 한국사회의 계층갈등의 지형을 규명하고 불평등의 전개양상에 대한 체계적인 분석을 통해 공감사회에 관한 틀을 마련함으로써 코로나 시대의 극복방안을 제시하고자 한다. 분석결과, 계층에 대한 객관적 차원뿐만 아니라 주관적 차원인 삶에 대한 만족도와 계층의식은 비례하며, 계층적 지위일치의 구성은 양극화를 보여준다. 왜곡된 분배구조와 사회가치에 의해 소득 및 자산격차가 심화되고 있으며 교육격차와 계층의 구조화로 사회이동의 가능성을 굴절시키고 있는 것이다. 이러한 문제는 기회균등이나 제도적 공정성만으로는 치유하기 어려우며, 문화적 가치체계에 대한 냉철한 진단과 과감한 개혁이 필요하다. 코로나 위기극복과정을 통해 과거로 회귀하는 것은 옳지 않으며 잘못된 의식과 관행을 바로 잡아 국가와 사회구성원의 정합성을 재정립해야 한다. 나이가 경제와 글로벌 및 디지털 차원의 혁신과정을 통해 국가발전보다 사회발전을 우선시하고 구성원의 삶 자체를 중시하는 뉴 노멀 시대의 대전환이 요구된다. 갈등해결의 지속성은 사회적 토대로서 공동체에 관한 연대의식에 달려 있으며, 사회구성원의 신뢰와 소통에 바탕을 두는 공감사회가 필요하기 때문이다.

Nonparametric Granger Causality Test

  • Jeong, Ki-ho;Nishiyama, Yoshihiko
    • Journal of the Korean Data and Information Science Society
    • /
    • 제18권1호
    • /
    • pp.195-210
    • /
    • 2007
  • This paper develops a consistent nonparametric test for Granger causality in the context of strong-mixing process, which covers a large class of stationary processes including ARMA and ARCH models. The previously proposed tests require absolute regularity ($\beta$-mixing) more stringent than the strong-mixing condition. We prove the consistency of the test under a high level assumption on the approximation error of U statistic by its projection. Due to the sample splitting, the test statistic we propose is asymptotically normally distributed under the null.

  • PDF