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키코(KIKO) 손실 중소기업의 위기극복 사례연구: 월드클래스 300기업 (주)쎄믹스를 중심으로

  • 정미화
    • 한국벤처창업학회:학술대회논문집
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    • 2023.11a
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    • pp.91-96
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    • 2023
  • 글로벌로 핵심기술 경쟁 및 최상의 기술을 적용한 제품 제조를 실현해야 하는 ICT 분야의 수출 제조 중소기업은 내부, 외부적인 환경적 요인뿐 아니라 다양한 위기상황을 겪게 된다. 이러한 위기상황을 극복하고자 기업 자체적인 전략을 다방면으로 모색하고 실행하여 성공한 수출 제조 중소 벤처기업인 '(주)쎄믹스'가 있다. 2000년에 설립한 (주)쎄믹스는 반도체 검사장비 중 하나인 Wafer Prober 제조 전문기업으로, 'Simple Perfection'이라는 슬로건 아래 23년간 'OPUS' 및 'OPERA'를 생산, 판매에 전념하고 있는 글로벌 강소기업이며, 지속적인 핵심기술 연구개발을 통해 품질혁신에 성공하였고 글로벌 반도체 검사장비 시장에서 기술적 신뢰와 브랜드 명성을 인정받고 있는 벤처기업이다. 현재 (주)쎄믹스의 입지를 구축하기까지 수출 제조기업으로서 겪은 환율관리 실패인 키코손실에서 기인한 회사 위기를, 자체적으로 기술혁신, 조직혁신, 핵심인재 육성 등 전략적 기업혁신에 성공하여 회사의 존폐위기였던 상황을 극복하였다. 우선 키코손실을 떨쳐내고 새로이 시작하기 위한 S사와의 합병, 분할 후 조직 내부에 기업가정신을 고취하였고 핵심기술을 발굴하여 세계일류상품 인증, 월드클래스 300 선정 및 완수, 6개국에 7개의 자회사 설립 통한 조직혁신, 과감한 인재등용, 인재육성 위한 사내 컨퍼런스 제도 도입, TRIZ 등을 통한 과감한 교육혁신, 인재를 위한 특별한 복지정책 구현 등을 실천하였다. 본 연구는 '(주)쎄믹스'의 위기극복 사례를 통해 일본의 두 곳 대기업만이 누리고 있던 Wafer Prober 장비 시장에서 독자적인 글로벌 판로개척을 통한 자생적 성장시스템 구축과 창의적이고 자기 주도적인 혁신체제를 구축하는 계기를 제공하여 다양한 위기상황에 직면하였거나 위기를 미연에 방지하여야 할 중소기업인과 임직원들에게 성공 사례를 제공하고자 하였다.

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Process of Capital Accumulation and Urbanization in S.Korea: Urban Crisis and Alternatives (한국의 자본축적 과정과 도시화: 도시 위기와 대안)

  • Choi, Byung-Doo
    • Journal of the Economic Geographical Society of Korea
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    • v.19 no.3
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    • pp.512-534
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    • 2016
  • This paper is to see what appears to be an economic crisis as urban crisis, to explore its emerging process and its major distinctive figures in the context of S. Korea, and to consider alternatives to overcome such an urban crisis. For this purpose, it first tries to show that the capitalist economic development (i.e. capital accumulation) has been stimulated and driven largely by extending investments into built environments. Then it analyzes how crises of overaccumulation, coupled with other crises such as the IMF crisis in 1997 and the financial crisis in 2008 which have been brought about by serious impacts of foreign financial capitals working on the global level, have led to accumulating of huge surplus reserves within both big companies and the central government on the one hand, increasing tremendously debts of households as well as government and private companies on the other. In particular, the debt crisis seems to be accelerated by fictitious capital generated through government's financial strategies to promote both supplies and demands in housing and property markets. There seem several ways of overcoming the urban crisis spiraled around accumulating surplus capital and increasing financial debt; raising real income, moderating investments into built environment, and increasing inputs into the fields of technology and well-being. In order to open up these ways, it is concluded, recent urban movements in terms of the right to the city are required not only to make the government and capital to do so, but also to realize interest of urban people who have produced such surplus but who are suffering from the debt crisis.

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A study on Improve the Response Capability during the Crisis of Food and Medical Products (식품 및 의료제품 위기 대응역량 향상을 위한 연구)

  • We, Kum-Sook;Hwang, Yo-Han
    • Journal of Korean Society of Disaster and Security
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    • v.8 no.2
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    • pp.27-31
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    • 2015
  • The purpose of this study is to improve the capacity of public officials that can respond quickly and effectively in the event of food and medical products crisis. In order to improve the emergency response capacity, it must be preceded to identify what kinds of response activities and capacities are needed in case of food and medical product crisis. To this end, this study examined the definition of food and drug related crisis, and investigated and analyzed domestic and international leading researches and data about the capacity related to emergency, crisis or disaster. Based on the result of the analysis, the crisis response capacity was defined as 'the ability to quickly perform response tasks at the time of crisis', and the response tasks were identified by analysing the crisis response manuals of the Ministry of Food and Drug Safety. Since identifying the response tasks clearly can be a basis for training, exercise, and evaluation, it is expected to contribute to enhance the crisis response capabilities directly and effectively.

An Empirical Study on Employment during Crises in Korea (금융위기의 고용파급효과에 대한 실증분석)

  • Shin, Sukha;Cho, Dongchul
    • KDI Journal of Economic Policy
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    • v.34 no.4
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    • pp.91-116
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    • 2012
  • This paper analyzes how the adverse impacts of the global financial crisis on Korea's employment could be mitigated in comparison with the Asian crisis period. The results from error-correction models suggest that the less severe impacts during the global financial crisis could be attributed to (i) smaller GDP reduction, (ii) better maintenance of domestic demand despite a sharp fall of export, (iii) less serious over-employment during the run-up to the crisis, and (iv) less severe credit crunch. Analyses of OECD cross-country data provide corroborating evidence. In order to mitigate adverse impacts on employment, therefore, priority should be given to expansionary macroeconomic policies to keep aggregate domestic demand from collapsing once a crisis is triggered. Also crucial, however, is to maintain sound economic structures such as flexible labor market and adequately supervised financial market.

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Characteristics and Implications of the Policies for Industrial Crisis Areas in Europe (유럽의 산업위기지역 지원정책 추진 동향 및 시사점)

  • Lee, Jong-Ho;Jang, Hoo-Eun
    • Journal of the Economic Geographical Society of Korea
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    • v.22 no.3
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    • pp.246-257
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    • 2019
  • This paper aims to consider and draw policy implications for industrial crisis areas in advanced European countries with extensive experience in implementing regional industrial policies for regions facing industrial and employment crises due to deindustrialization, the decline of main industries, and industrial restructuring. In Europe, the paradigm and focus of support policies for industrial crisis areas have varied from time to time and from country to country. In particular, since the 2008 global economic crisis, it has again become a major issue of regional policy. Europe's recent policies for industrial crisis areas are characterized by a new model of development, with its focus on regional economic growth and job creation, and in the form of multifaceted and comprehensive regional policies through policy mix that combines regional development policies, industrial policies and employment policies.

A Study on the Improvement of Crisis Alerts of Disaster-related Crisis Management Standardized Manuals (재난 관련 표준매뉴얼의 위기경보 개선방안에 관한 연구)

  • Kim, Yong-Soon;Choi, Don-Mook
    • Fire Science and Engineering
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    • v.32 no.6
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    • pp.126-133
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    • 2018
  • Korea has been preparing and operating crisis management standardized manuals so that over 30 disaster types that need to be managed at the national level can be selected and systematically managed. This study analyzed the crisis alert levels of two standard manuals related to the case with reference to the contents of the Framework Act on the Management of Disaster and Safety and National Crisis Management Basic Guidelines. According to the Act and Guidelines, crisis alerts are issued before a crisis or disaster, but the criteria of crisis alerts of the two manuals showed that the national crisis had already occurred and the disaster occurred due to a marine vessel accident at the serious level. In addition, the results of timing of issuance of crisis alert were reviewed. If the signs can be identified, a crisis alert may be issued prior to the occurrence of the incident, but a crisis alert cannot be issued when an incident occurs without a sign. In the case of an incident where there are no signs, but there is a possibility of spreading to a national level disaster, the disaster management supervision agency could issue a crisis alert.

금융위기 전후의 시장간 동태적 균형관계 분석

  • Kwak, Jong-Mu
    • The Korean Journal of Financial Studies
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    • v.5 no.1
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    • pp.191-212
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    • 1999
  • 1997년에 우리 나라는 외환충격으로 인한 금융위기 속에서 시장가격이 급격하게 변동하였다. 이로 인해 차익거래를 가능하게 하는 차입과 대출이 크게 제약되었고, 이것은 시장간 균형관계에 중요한 영향을 줄 수 있다. 이에 이러한 금융위기에서도 주요 시장간의 균형관계가 유지되었는지를 검정하는 것이 이 연구의 목적이다. 분석자료로 KOSPI 200 현물 종가 및 선물 결제가격, 연간 회사채 수익률, 양도성 예금 연간이자율, 기준환율의 일일 자료를 사용하였다. 1996년 5월 3일부터 1998년 5월 21일까지의 기간을 외환충격에 의한 금융위기 전, 중, 후의 3단계로 구분하여 각 단계별로 백터오차수정모형 분석과 충격반응분석을 하였다. 금융위기 이전인 제1단계에서는 5개 내생변수간의 균형관계가 존재하였다. 금융위기가 급속하게 진행된 제2단계에서는 균형관계가 존재하지 않았다. 그러나 주가지수, 주가지수 선물가격 및 기준환율 변수를 내생변수로 하고, 나머지 변수를 외생변수로 분석한 경우에는 균형관계가 존재하였다. 금융위기 진정단계인 제3단계에서는 5개 내생변수간의 균형관계가 성립하였다.

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경제위기하에서의 우리나라항만의 대응전략에 관한 연구

  • Choe, Hun-Do;Gwak, Gyu-Seok;Nam, Gi-Chan
    • Proceedings of the Korean Institute of Navigation and Port Research Conference
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    • 2009.10a
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    • pp.231-232
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    • 2009
  • 지난 1997년 IMF에 이어, 미국의 서브프라임사태로 인해 우리나라는 다시 한 번 국가적으로 경제위기를 맞이하게 되었다. IMF 때와 지금의 경제위기는 여러 방면으로 항만운영에 영향을 미쳤다. 많은 선행연구에서는 항만의 일반적인 마케팅전략에 대한 연구가 많은 반면, 경제위기시 이에 대한 대응전략에 관한 연구는 미비하였다. 이에 본 연구에서는 지난 경제위기가 항만에 미쳤던 영향과 우리나라 항만의 대응방법을 분석하고, 외국항만들의 경제위기 대처 방법들을 조사하여 우리나라 항만에 적용해봄으로써 미래의 경제위기에 우리나라 항만이 어떻게 대비해야 할 것인가에 대한 방안을 제시하고자 한다.

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A Study on Crisis management and Risk Decisions (위기관리 및 리스크의사결정에 관한 연구)

  • Sung, Kyung
    • Proceedings of the Korean Institute of Information and Commucation Sciences Conference
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    • 2009.05a
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    • pp.817-821
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    • 2009
  • The crisis also complicated where deployment aspects the interaction of several factors, as well as, It is hard to knows anytime anywhere to raise. Therefore, in fact, it is impossible to prepare that accurately predict all the crisis. This research organization to maintain the stable activity from crisis that it is presented to crisis management system and Risk-based Decision Making Process.

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The framework and application model for risk mitigation service based networks (농축산 전염병 위기완화서비스 체계구조 및 용용모델)

  • Chung, heechang;Kim, Dongil
    • Proceedings of the Korean Institute of Information and Commucation Sciences Conference
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    • 2016.10a
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    • pp.493-495
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    • 2016
  • The framework and application model for risk mitigation service based on network provides monitoring function of the risk event data to be inputted and analyses it for mitigation process. Furthermore, it performs the analysis of the manmade calamities such as accident, building destruction, natural calamities caused by climate change, and animal harms caused by bird flu and foot-and-mouth disease occurring in livestock and wild animals, and provides the mitigation service of it. The application model for risk mitigation is combined with network and carries out the real time acquisition and monitoring of risk events, and provides mitigation service for the risks caused by calamities and reduces economic losses.

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