• 제목/요약/키워드: Funds

검색결과 956건 처리시간 0.029초

P.S.C 철도교량의 잔존수명 예측 (Lifetime Prediction of a P.S.C Rail Road Bridge)

  • 양승이
    • 한국철도학회논문집
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    • 제8권5호
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    • pp.439-443
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    • 2005
  • The biggest challenge bridge agencies face is the maintenance of bridges, keeping them safe and serviceable, with limited funds. To maintain the bridges effectively, there is and urgent need to predict their remaining life from a system reliability viewpoint. In this paper, a model using lifetime functions to evaluate the overall system probability of survival of a rail road bridge is proposed. In this model, the rail load bridge is modeled as a system. Using the model, the lifetime of the rail road bridge is predicted.

공무원 연금기금의 중장기전망과 재정운용 성현계확 모형 (Linear Programming Model and Forecasting for Financing Operation of civil Service Pension Fund)

  • 황현식;김지수
    • 한국경영과학회지
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    • 제11권2호
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    • pp.69-78
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    • 1986
  • The outlook for the Civil Service Pension (CSP) program in Korea indicates several problems. First, the balance of the benefit among the pension recipients is not well maintained. Second, the program is running out of funds as benefit increases exceed the growth in revenues. In this article, we analyze these problems by using linear programming model and discuss the alternatives. We propose an addition of the age limit to the benefit eligibility and a reconsideration of the government subsidy's level.

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Current Trends in Chinese Fashion Markets - Characteristics of Chinese Fashion Markets and Launching Strategies to Success -

  • Chung, Cheng Chung
    • 패션비즈니스
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    • 제7권3호
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    • pp.45-53
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    • 2003
  • In the face of trade opportunity of Chinese reformation and opening and the future largest single market, global or multinational companies and Korean, Japanese, Chinese, Hong Kong's and Taiwan's companies will go all out to catch hold of one quotient. One trading war is about to start for funds, elitists, technique, and management in China now. It might be difficult to get profits in Chinese markets. However, risks can bring challenges, and competition can make progress. It's time to prepare for the challenges in the golden opportunity laid in front of us all.

The Evaluation of Chinese Mutual Funds Performance

  • 왕설량;이유태;이창규
    • 재무관리논총
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    • 제13권1호
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    • pp.133-160
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    • 2007
  • 본 연구는 중국 뮤추얼펀드를 대상으로 폐쇄형(48개), 개방형(17개)으로 구분하여 총 65개 펀드에 대해 성과를 측정해보고, 이를 통해 중국 뮤추얼펀드가 지수대비 어떠한 성과를 보여주고 있는지를 살펴보고자 한 연구이다. 성과 평가 실증기간은 폐쇄형 펀드가 2002년 1월 4일부터 2004년 12월 31일까지 3년으로 하며 개방형 펀드가 2003년 1월 3일부터 2004년 12월 31일까지 2년으로 하였다. 실증연구방법들은 CAPM에 기반한 트레이너 모형, 샤프 모형, 젠센 모형과 장세판단능력 측정 모형인 트레이너-마주이 모형이다.

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중소제조업을 위한 생산관리시스템의 개발 (Development of Production Management System for Medium and Small Companies)

  • 임수경;오근태
    • 산업경영시스템학회지
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    • 제18권36호
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    • pp.193-203
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    • 1995
  • The production management system software which can be applied In the medium and small companies is developed. Since the medium and small companies hesitate to install the computer system for production management owing to the lack of funds and the complexities of operation, the system is made to be used in PC and only requires minimum input data. This system is composed of interrelated modules for receive/order release, inventory management MRP, new product registration, document management and production scheduling. In this paper the architecture of the system, functions of each module, and information processing procedures of each funtion are discussed.

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투자타당성검토와 예비견적 (Research for Investment Validity and Preliminary Estimating)

  • 이근희;박상민
    • 산업경영시스템학회지
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    • 제11권18호
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    • pp.1-5
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    • 1988
  • In this study we have provided one solution to overcome mistakes with limited technical staffs, capitals and times may be the computer for cost estimating. In view of the speed and the ability to draw on funds of information, we shall see that computer estimating models will become the exhibited and the accepted norm of operation by continuous research. Therefore, the computer is broadly serving the needs of many engineering disciplines and in the area of engineering design and industrial application, inexhaustible developed softwares are presented more easy speed and various application for Cost Engineering.

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Plant Genetic Resources in Lam Dong province - Vietnam : Brief in medicine plants and wild orchids situation

  • Ket, Nguyen Van;Cho, Joon-Hyeong
    • 한국자원식물학회지
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    • 제22권6호
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    • pp.571-583
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    • 2009
  • Lam Dong Province of Vietnam has an exceptional diversity of orchids and herbs. At least 920 herb species are widely mentioned in Vietnamese traditional medicinal literature and over 239 Lam Dong wild orchid species are used for attention under the Conservation Vietnamese wild orchids projects. In collaboration with Department of Plant Biotechnology, Dongguk University - South Korea working under supported ODA funds from Korea government (MIFAFF), we will consider how to collecting and preserving these plants in situ or conservating in vitro as a genetic resource.

가짜 학술지와 가짜 학술대회의 특성과 피해 방지 방안 (Pseudo-Journals and Pseudo-Conferences: the Characteristics and Preventive Measures)

  • 최인홍
    • 대한신경과학회지
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    • 제36권4호
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    • pp.289-293
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    • 2018
  • This article explains the relationship between open-access publications and pseudo-journals, and explores their characteristics including predatory journals and journal hijackers. Pseudo-journals and pseudo-conferences cause the disruption of academic development by spreading low quality information as well as the violation of research ethics by abusing research funds. Finally, preventive measures are described from the perspective of journal authors/researchers, institutions/funding organizations, and journal editors.

지수가중이동평균법과 결합된 마코위츠 포트폴리오 선정 모형 기반 투자 프레임워크 개발 : 글로벌 금융위기 상황 하 한국 주식시장을 중심으로 (Developing an Investment Framework based on Markowitz's Portfolio Selection Model Integrated with EWMA : Case Study in Korea under Global Financial Crisis)

  • 박경찬;정종빈;김성문
    • 한국경영과학회지
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    • 제38권2호
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    • pp.75-93
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    • 2013
  • In applying Markowitz's portfolio selection model to the stock market, we developed a comprehensive investment decision-making framework including key inputs for portfolio theory (i.e., individual stocks' expected rate of return and covariance) and minimum required expected return. For estimating the key inputs of our decision-making framework, we utilized an exponentially weighted moving average (EWMA) which places more emphasis on recent data than the conventional simple moving average (SMA). We empirically analyzed the investment results of the decision-making framework with the same 15 stocks in Samsung Group Funds found in the Korean stock market between 2007 and 2011. This five-year investment horizon is marked by global financial crises including the U.S. subprime mortgage crisis, the collapse of Lehman Brothers, and the European sovereign-debt crisis. We measure portfolio performance in terms of rate of return, standard deviation of returns, and Sharpe ratio. Results are compared with the following benchmarks : 1) KOSPI, 2) Samsung Group Funds, 3) Talmudic portfolio based on the na$\ddot{i}$ve 1/N rule, and 4) Markowitz's model with SMA. We performed sensitivity analyses on all the input parameters that are necessary for designing an investment decision-making framework : smoothing constant for EWMA, minimum required expected return for the portfolio, and portfolio rebalancing period. In conclusion, appropriate use of the comprehensive investment decision-making framework based on the Markowitz's model integrated with EWMA proves to achieve outstanding performance compared to the benchmarks.

재고투자 감축에 따른 재고모형과 비용 감도 분석 (The Optimal Inventory Modeling and The Cost Sensitivity Analysis with Reducing Inventory Investment)

  • 권희철
    • 디지털융복합연구
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    • 제11권12호
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    • pp.265-274
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    • 2013
  • 글로벌 경제 침체와 국내 경기변동은 기업의 자금 조달에 어려움을 초래하고 기업 운영을 악화시킨다. 특히 불황기에 직면한 기업이 많은 재고를 보유하고 있다면 운영관리 뿐만 아니라 심각한 자금 조달 문제가 발생할 수 있다. 그것은 경쟁적 우위 차원에서 경영 전략을 수립하여야 되는 기업의 사기를 좌절시킬 수 있다. 이렇게 운전자금 부족이나 운전자금 문제를 겪는 기업은 우선 재고투자 감축을 고려하게 되지만 재고투자 감축 정책은 재고 운영비용을 증가시킬 수 있다. 만일 비용 증가 폭이 크다면 재고감축 정책의 타당성이 성립되지 않는다. 본 연구는 재고투자 감축 크기에 비교해서 총비용의 변화가 크지 않음을 제시하고 민감도 분석을 통해 나타내고 있다. 이 결과는 재고 운영 정책에 따라서는 운전자금 부족 문제가 발생하였을 때 재고투자 감축의 정당성을 제안하고 있다. 여기서 전개한 재고모형은 최대한 현실성을 고려하여 개발하였다.