• Title/Summary/Keyword: 정책 변동

Search Result 576, Processing Time 0.032 seconds

Effects of OPEC Announcements in Different Periods of Oil Price Fluctuation (사건연구 방법론을 이용한 OPEC 생산량 발표의 원유시장 영향 분석)

  • Bae, Jee Young;Heo, Eunnyeong
    • Environmental and Resource Economics Review
    • /
    • v.26 no.3
    • /
    • pp.451-472
    • /
    • 2017
  • An OPEC production announcement is a major source of supply disruption that has a significant impact on the international crude oil market. In this study, the effects of OPEC's announcements are analyzed using event study methodology. Considering the oil price volatility and structural changes in the oil price, we divide the entire period into three periods and analyze the impact of OPEC's production quota announcements, including 'cut', 'hike', and 'maintain'. As a result of the analysis, we observe that the degree and direction of abnormal returns differ according to the announcements in each period. In addition, by subdividing oil price surge and plunge period into two sections, we analyze the effect of OPEC's 'maintain' announcements. During the oil price plunge period, the amount of abnormal returns was significant. This study provides policy implications for oil trading strategies and for the impact of OPEC announcements during periods of oil price fluctuation.

국면전환 확산모형을 통한 정보통신산업 발전과정의 특성 국제비교

  • Gu, Jae-Beom;Lee, Jeong-Dong;Jeong, Jong-Uk
    • Proceedings of the Technology Innovation Conference
    • /
    • 2005.02a
    • /
    • pp.268-286
    • /
    • 2005
  • 본 연구에서는 OECD 주요 10개국을 대상으로 국가별 정보통신산업의 성장 추이를 각각 분석하고 국별 특성을 비교하는데 목적이 있다. 이를 바탕으로 각국의 정보통신산업이 경기순환 또는 단계별 발전 속성을 지니고 있는지를 파악하고 국가별 공통점과 특이점을 분석하고자 하였다. 방법론적으로 OECD 국가들의 정보통신산업 GDP 추이 및 성장률의 움직임을 국면전환 (regime change) 확산과정으로 묘사함으로써 각 국가별 정보통신산업 발전 양상의 특징 및 국면전환 시점 등을 포착해 내고자 하였다 추세를 갖는 대표적 확산과정인 GBM 모형과 평균회귀 성향을 갖는 대표적 확산과정인 Vasicek 모형에 각각 마코프 국면전환을 도입하여 국가별 정보통신산업 GDP 및 GDP 성장률의 추이에 있어 국면 전환 여부와 독특한 발전 특성을 비교 분석하였다. 실증분석 결과 정보통신산업 GDP의 성장률과 변동성 사이에는 높은 상관관계가 있었으며, 한국, 멕시코 등은 고성장, 고변동성을, 미국, 프랑스, 일본 등은 저성장, 저변동성의 특성을 보이는 것으로 나타났다 또한 한국의 경우 유일하게 성장률과 변동성 모두 국면전환이 일어나는 국가로 나타났다. 장기평균 성장률의 특성에 따라 분류한 결과, 한국, 일본, 미국, 멕시코, 뉴질랜드는 고성장에서 저성장으로의 국면전환, 핀란드와 덴마크는 경기 순환적 국면전환, 노르웨이, 프랑스, 캐나다는 단일 국면으로 분류할 수 있었다. 특히 한국의 경우 평균회귀 속도와 변동성이 타 국가에 비해 높은 특성을 보여주었다. 본 연구는 정보통신산업을 미시적 분석이나 세부 항목별 정량적 분석을 통해서가 아니라 산업의 발전 속성 및 경기 순환 등의 관점에서 분석함으로써 정보통신산업 정책의 수립 및 집행을 거시적 안목 하에 정립할 수 있게 한다는 데 의의를 가진다. 또한 경제변수를 묘사하는데 있어 국면전환 확산과정을 사용함으로써 향후 실물옵션 등을 통한 기술 및 무형자산의 가치평가에 있어 기초자산의 움직임을 보다 정확히 포착해 낼 수 있는 프로세스를 제공하였다는데 또 다른 의의를 갖는다고 하겠다.

  • PDF

Estimation of Resilient River Water Use Criteria Using Margin of Safety(MOS) (안전율(MOS) 개념을 고려한 탄력적 하천수 사용허가 기준유량 산정)

  • Ryoo, Kyong Sik;Park, Jung Eun;Lim, Kwang Suop
    • Proceedings of the Korea Water Resources Association Conference
    • /
    • 2017.05a
    • /
    • pp.359-359
    • /
    • 2017
  • 하천관리청은 유량변동이 큰 환경에서도 평상시 하천의 기능을 유지하고 안정적인 용수공급이 이루어지도록 하천수 허가관리를 수행하고 있다. 이때, 하천수 사용허가 검토시 기준으로 사용되는 유량은 자연상태의 기준갈수량에서 하천유지유량을 감안하여 적용하고 있는데, 이는 하천유량의 변동에도 최대 용수수요를 만족할 수 있게끔 관리하기 위한 것으로 최대 사용량일 때의 물의 과부족을 계산하여 허가 여부를 결정한다. 본 연구에서는 Park et al.(2016)이 제안한 시기별(홍수기/이수기, 비관개기/관개기 고려) 하천수 사용허가 기준유량 설정방법을 기반으로, 수질오염총량제(Total Maximum Daily Loads, TMDLs)에서 적용하는 안전율(Margin of Safety, MOS)의 개념을 접목하여 허가기준유량의 불확실성을 정량적으로 고려할 수 있는 방법을 제시하였다. 허가기준 유량은 수문모델에 의해 자연상태의 모의유량을 유황분석하여 도출하게 되므로 유량의 연도별 변도성(Margin of Variability, MOV)과 예측모델 매개변수의 불확실성(Margin of Uncertainty, MOU)을 고려하는 Walker Jr.(2003)의 안전율 산정방법을 적용하였다. 본 연구에서는 금호강 유역을 대상으로 시기별 자연유량 산정시 고려한 SWAT 모형결과를 기반으로 하였으며, 모의자료의 변이계수를 산정하여 시간적 변동성에 의한 불확실성을 도출하고 SWAT-CUP모형을 활용하여 모형의 불확실성을 도출하여 안전율을 계산하였다. 단, 기준갈수량이 허가기준유량으로 사용되는 기간(1월 1일~3월 31일)에는 안전율까지 고려할 경우 지나치게 보수적이라고 판단되어 적용에서 제외하였다. 본 연구에서 제안된 불확실성을 고려한 하천수 관리방법론은 시기별 하천수 허가기준유량 설정에 대한 의사결정자들의 판단을 지원하는데 기여함으로써 정책적 활용도를 높일 뿐만아니라 탄력적인 하천유량관리를 위한 기초연구로 활용될 수 있을 것이며, 타 분야 기술과의 융합이라는 점에서도 의의를 가질 수 있을 것으로 생각된다.

  • PDF

The effect of Consumer Price, Interest Rate and Sales Performance on the KOSPI (소비자물가와 금리, 매출실적이 종합주가지수에 미치는 영향 분석)

  • Yang, Seung-Kwon;Choi, Jeong-Il
    • Journal of Digital Convergence
    • /
    • v.17 no.10
    • /
    • pp.169-176
    • /
    • 2019
  • Recently, the Korean economy is congested with Japan's economic retaliation, the US-China trade war, the Bank of Korea's 0.25% base rate cut and Korea's economic growth forecast revision. The purpose of this study is to analyze the KOSPI, CPI, Treasury bonds(3 years) Interest rate & sales performance of all industries, and examine the impact of each index on the KOSPI. The analysis period is from January 2003 to June 2019, and the effect of each index on the KOSPI is analyzed. In numerical analysis, we performed correlation coefficients and regression analysis. In the model analysis, the distribution, quadrant, scatter, box-plot and impulse response were examined. This study examined the volatility and dynamic characteristics of each index. As a result, the KOSPI showed a high correlation with sales and Treasury bonds, but showed a very low correlation with the CPI. The KOSPI will continue to be affected by sales and interest rates.

The Variation of Industrial Location Demand by Changing Policy of Seoul Metropolitan Area (수도권 정책변화에 따른 산업입지 수요의 변동)

  • Lee, Hyeon-Joo;Kim, Mi-Suk
    • Journal of the Economic Geographical Society of Korea
    • /
    • v.14 no.3
    • /
    • pp.286-306
    • /
    • 2011
  • Based on the announcement by the National Competitiveness Council in 2008, this study analyzed the direction of the changing policy in Seoul Metropolitan Area promoted by the current government and to inquire into such the effect, research was done to study the changes in space demand by companies which respond sensitively to changes in regulation in Seoul Metropolitan Area. In addition, the effect of Seoul Metropolitan Area policy on company location is explored while company location changes and changes in direction of space demand due to easing of regulation in Seoul Metropolitan Area by the current government are examined. Research methods utilized empirical analysis and survey analysis. Empirical analysis utilized statistical data since 1980's. For survey analysis, the effect of changing policy in Seoul Metropolitan Area, which is an exogenous shock, on decision making of the enterprise is considered to derive the direction of demand for company manufacturing lots. The results of the study showed that decision for company location or factory size has been affected greatly by Seoul Metropolitan Area policy and domain regulation and institution to restrict permission area of a manufacturing building from the law of improvement plan of the Metropolitan area were the biggest regulatory policies. Due to easing of regulation in Seoul Metropolitan Area by the current government, the demand for manufacturing lot is expected to increase. In particular, the demand for manufacturing lot is expected to increase centered around Seoul Metropolitan Area and Chungcheong province while demand is expected to decrease in Gangwon province. The reason is because company preference is high for the Seoul Metropolitan Area which has the best transportation/logistics and market conditions in Korea. But in the case of Southeast region and Daegyung region that form exclusive economic zones, changing policy in Seoul Metropolitan Area has little impact. In the case of Seoul Metropolitan Area, demand increase does not occur in the entire area but instead, demand is expected to increase in growth management zones.

  • PDF

Analysis of Short-Term Impact of Tax Policy on Housing Purchase Price in Small and Medium-sized Cities in Korea (세금정책이 중소도시의 공동주택 매매가격에 미치는 단기 영향분석)

  • Oh, Kwon-Young;Jeong, Jin-Won;Lee, Donghoon
    • Journal of the Korea Institute of Building Construction
    • /
    • v.22 no.1
    • /
    • pp.81-90
    • /
    • 2022
  • With apartment purchase prices rising, small and medium-sized cities have been highlighted as areas in which real estate speculation is overheated, and thus designated as target districts for adjustment. In addition, tax policy is constantly being adjusted in an attempt to stabilize real estate prices. The purpose of this study is to analyze the basic effect of tax policy on the purchase price of apartments in small and medium-sized cities. This study selected apartments in the Daejeon area that were constructed between 1990 and 2015. In addition, tax policy was divided into regulatory policy and easing policy based on tax increase and tax cut. This study analyzes the short-term difference of one year before and after the change in the purchase price of apartment houses. In addition, this study set the time when real estate policy was implemented and the actual transaction price of apartments in Daejeon as the analysis targets, and analyzed the correlation between tax policy and apartment sales prices through the NPV technique and T-test results. Through the study, it was found that most tax policies changed apartment purchase prices in the short term.

Effects of the Trade Insurance and Exchange Risk on Export: The Experience of Korea (무역보험과 환위험이 수출에 미치는 영향)

  • Kim, Chang-Beom
    • International Commerce and Information Review
    • /
    • v.13 no.3
    • /
    • pp.77-95
    • /
    • 2011
  • This paper investigates the relationship between export and economic variables such as trade insurance, world economy activity, relative price, unemployment rate, exchange rate volatility, using monthly data. I employ Johansen cointegration methodology since the model must be stationary to avoid the spurious results. The results indicate that there is a long-run relationship between export and variables. Also, the empirical analysis of cointegrating vector using the CCR, DOLS, FMOLS reveals that the increases of trade insurance has positive relations and the increases of exchange rate volatility have negative relations with export. Especially, DOLS based on Monte Carlo simulations, of this estimator being superior in small samples compared to a number of alternative estimators, as well as being able not only to accommodate higher orders of integration but also to account for possible simultaneity within regressors of a potential system. This paper also applies impulse-response functions to get the additional information regarding the responses of the export to the shocks of the variables. The result indicates that export positively to trade insurance and then decay fast compare with exchange rate volatility. Consequently, trade insurance plays the role of trade policy for export promotion in Korea. Whereas, increase of exchange risk result in reduction of export. Therefore, the support of trade insurance should be expanded and the stabilization of the foreign exchange market must be done for the export promotion.

  • PDF

Influence of Liquidity on the Housing Market before and after Macroeconomic Fluctuations (거시경제변동 전후 유동성이 주택시장에 미치는 영향 분석)

  • Lee, Young-Hoon;Kim, Jae-Jun
    • Journal of the Korea Academia-Industrial cooperation Society
    • /
    • v.17 no.5
    • /
    • pp.116-124
    • /
    • 2016
  • In the past, once apartments were built by housing construction companies, their presale went smoothly. Therefore, the developer and construction companies in Korea were extremely competitive in the housing market. However, when the 1997 foreign exchange crisis and 2008 global financial crisis occurred, the quantity of unsold new housing stocks rapidly increased, which caused construction companies to experience a serious liquidity crisis. This paper aims at analyzing the influence of Liquidity on the Housing Market before and after Macroeconomic Fluctuations using VECM. The periods from September 2001 to September 2008 and from October 2008 to October 2015, which were before and after the Subprime financial crisis, were set as Models 1 and 2, respectively. The results are as follows. First, it is important to develop a long-term policy for the housing transaction market to improve household incomes. Second, due to the shortage in the supply of jeonse housing, structural changes in the housing market have appeared. Thus, it is necessary to seek political measures to minimize the impact of transitional changes on the market.

Variability in the Effective Spatial Range of the Population Centripetal Force of CBD (도심 인구구심력의 유효범위 변동성 측정)

  • Nam, Kwang-Woo;Kang, In-Joo;Im, Doo-Hyeon
    • Journal of the Korean Association of Geographic Information Studies
    • /
    • v.12 no.2
    • /
    • pp.120-131
    • /
    • 2009
  • This study measured the centripetal force and effective scope of the population spread from urban center and subcenters in order to diagnose the urban spatial structure of the formation of a multicentric city structure in Busan. The study analyzed the variability of the determination coefficient value (R square) with a negative exponential function derived from the population density model by extending the circular region into 5-km units. The aim of this study was to measure changes in the effective scope of the population centripetal force of the urban center and subcenter in 5-year intervals from 1995 to 2005 using census data. The explanatory adequacy of the population density function was examined with the bias of the function to calculate the distance error between the real location of the urban center and the optimal location, according to the population density function. To summarize the results, the value for the area of Jungangdong showed a continuous reduction, whereas Seomyeon (Bujeondong) maintained explanatory adequacy without a large change. As a whole, Busan was in the process of continuous diversification, in spite of its reduced population. Therefore, it appears necessary to strengthen the function of the urban center and subcenter and to supply adequate dwelling zones close to downtown to form a more efficient urban spatial structure. The results of the present study will be utilized as basic data for the formulation of a political approach to the efficient reorganization of spatial structure by correlating concrete spatial information with the population variability of Busan's urban center and subcenter.

  • PDF

The Effects of Prior Sales Change on Asymmetric Cost Behavior of R&D Costs (전기 매출액 변동이 연구개발비의 비대칭적 원가행태에 미치는 영향)

  • Noh, Gil-Kwan;Lee, Jeong-Eun
    • Journal of Digital Convergence
    • /
    • v.17 no.12
    • /
    • pp.109-115
    • /
    • 2019
  • The purpose of this study is to analyze the effect of Prior Sales change on R&D Costs and each detail item, and to analyze what decision managers make when changing sales. In order to conduct a more in-depth analysis as well as a one-period model of Anderson et al. (2003), which was used in previous studies, the two-period model of Banker et al.(2014) And analyzed the detailed items. As a result of the analysis, it is possible to confirm cost stickiness behavior only in the depreciation cost and others due to the limit of the model in the one period model. For a more in-depth analysis, the analysis of two-period model showed that labor costs and other items showed cost stickiness behavior when prior sales increased, but total R&D costs showed a anti-cost stickiness behavior. When prior sales decline, consigned service costs showed a cost stickiness behavior. This study is meaningful because it analyzed the effect of prior sales change on R&D cost behavior which were not performed in previous studies. Furthermore, we expect to be able to conduct more detailed research by sales and industry in future studies.