• 제목/요약/키워드: Investment status

검색결과 421건 처리시간 0.024초

한국(韓國)의 농지개발투자(農地開發投資)가 미곡생산(米穀生産)에 미친 효과분석(效果分析) - UR문제(問題)에 관(關)한 신농지개발정책(新農地開發政策) - (Investment for Farm Land Development and Analysis of It's Effects on Rice Production in Korea - New Farm Land Development Policy with Respect to UR Problems -)

  • 임재환
    • 농업과학연구
    • /
    • 제21권1호
    • /
    • pp.67-80
    • /
    • 1994
  • Farm land is considered the most important production factor in farm production. Land is not only one of the most scarce resource but also the size of land holding is the key factor in determining the size of farm income in Korea. To increase farm productivity by accepting bio-chemical and mechnical technology, the qualitative improvement of farm land through land consolidation and on-farm development have been carried out by the Korean government. Land consolidation with water resource development makes possible the high-tech-capital intensive farming, internal expansion of farm land and hightening the rate of land intensity in connection with UR problems. This paper contained the present status of farm land base development, allocation of investment by types of farm land development and the econome-trical analysis on the effects of the investment on rice productivity during the past 27 years since 1965. The rate of irrigated paddy area had been increased from 42% in 1965 to 74% in 1991. Land consolidated area out of the total paddy area had been achieved 44.9% and the improved rate of poor drained paddy area was shown 43.5% in 1991. To carry out the above farm land base development projects, the government had procured financial budgets consisting of the G't subsidy, long term loan, foreign loan, the provincial G't subsidy, WFP counter fund and farmer's burden.

  • PDF

The Belt and Road Initiative in Lebanon: A Promising Initiative in a Complex Society

  • AL SHAHER, Shaher;ZREIK, Mohamad
    • The Journal of Asian Finance, Economics and Business
    • /
    • 제9권2호
    • /
    • pp.151-158
    • /
    • 2022
  • The study aims to investigate Lebanese-Chinese relations within the framework of the Belt and Road Initiative. Lebanon formally joined the effort in 2017; this paper emphasizes Lebanon's geostrategic importance. The paper presents an assessment of the investment risks in Lebanon, which is considered an economically unstable country with a volatile security situation, with many internal and external political hurdles. The paper refers to the obstacles and challenges that the Chinese investor may face in Lebanese society. The study employs qualitative descriptive analysis to address the status of Chinese investment in Lebanon and the consequences of this partnership; the paper examines previous research related to the Belt and Road Initiative and the Lebanese political, security, and economic situation literature. Due to the deteriorating security situation, external intervention, and the economic crisis, the results reveal that Lebanon is not a top investment priority for China, which is a big impediment to China entering into economic cooperation with Lebanon. The findings of this study suggest that the Lebanese government should adopt an anti-corruption policy to build confidence for the Chinese investor, reduce unnecessary public spending, and hold a national dialogue to build confidence among the Lebanese parties.

노후 경제적 대비 여부에 따른 가계 경제의 차이와 재무관리행동 (Differences in Household Economic Status and Financial Behavior between Household Conducting and Not-conducting Financial Preparation for Retirement)

  • 양세정;이성림
    • 가정과삶의질연구
    • /
    • 제27권1호
    • /
    • pp.1-16
    • /
    • 2009
  • Using the 2007 Fund Investors Survey, we investigated (1) the differences in economic status in terms of household income, consumption, saving, assets and debts, (2) the differences in financial management behavior, (3) and the differences in confidence in economic status after retirement between households conducting and not-conducting financial preparation for retirement. The major study findings were as follows. First, only 46.4% of the households were financially preparing for retirement. The levels of income, consumption, and saving were higher among households conducting financial preparation for retirement than among those not-conducting such financial preparation. Second, households conducting financial preparation for retirement had a relatively high propensity to save. Their financial asset portfolio had a higher weight in safety assets and investment assets than in retirement assets. Due to their lack of confidence in their economic status after retirement, their demand for financial preparation for retirement remained. Third, the households which did not conduct financial preparation for retirement tended to have a relatively heavy debt burden and not to implement general household financial management practices. Fourth, among the three-pillar retirement income system, the second pillar, of individual retirement account was not well established. Based on these results, various implications were suggested.

SOC 민자사업과 프로젝트 파이낸싱의 효율적 결합방안에 관한 연구 (A Study on the Effective Application of the Project Finance to the Korean Private Infrastructure Projects)

  • 박동규
    • 한국건설관리학회논문집
    • /
    • 제1권4호
    • /
    • pp.67-73
    • /
    • 2000
  • SOC 민자사업의 성공을 위해서는 사업시행자의 원활한 자금조달이 필수적인데, 이를 위해서는 국내외의 다양한 재원을 통한 효율적인 프로젝트 파이낸싱이 수반되어야 한다. 본 연구는 SOC민자사업의 개요 및 현황을 살펴보고 새로운 민간투자법 체제에서 변화된 프로젝트 파이낸싱 환경을 구 민자유치법 체제와 비교.분석한다. 현체제에서도 남아있는 문제점들을 어떻게 개선하여 프로젝트 파이낸싱과 민자사업을 효율적으로 결합시킬 수 있는가에 대한 대안도 제시한다.

  • PDF

투자신탁 이용 고객의 저축 상품에 관한 지식과 영향변수 (The Knowledge about Savings of Customers Who Utilize Investiment Trust Company and Related Factors)

  • 이연숙;강연아
    • 가족자원경영과 정책
    • /
    • 제4권1호
    • /
    • pp.15-28
    • /
    • 2000
  • The purpose of this study was to examine the knowledge about savings of customers who utilize Investment Trust Company and to analyze the factors affecting it. The data for the analysis were collected by structured questionnaires and consisted of 191 customers who utilize Investment Trust Company. Descriptive. Descriptive Statistics including percentage, frequency, means, and standard derivation, t-test, one-way ANOVA with Scheffe test, multiple regression analysis were used to analyze the data. The following is a summary of major findings. 1) The customers knowledge about savings showed generally low-level. Especially the knowledge about tax and regulation of savings were the areas shown the lowest level. 2) The age, marital status, education and occupation of customers and total period of utilizing company were the factors affecting the knowledge of customers in the one-way ANOVA analysis. 3) The result of regression analysis indicated that age of customers and total periods of utilizing company were the significant predictors of customers’knowledge. These two variables explained 25.77% of variance of customers’knowledge about savings.

  • PDF

The current status of research and development in electrical engineering of Korea

  • 박상희
    • 전기의세계
    • /
    • 제44권5호
    • /
    • pp.39-41
    • /
    • 1995
  • Korean government has created the organizations for the private research development, has increased the support in taxes and funds, and has promoted the simplification of administrative structure and the removal of unnecessary restriction for the settlement of the private enterprise-centered technical reformation system. The investment of the research and development of Korea was 2.17% of GNP and the number of researchers was 89,000 in 1992. Korean government will expand the investment of research and development by 3-4% of GNP until 1998 and reinforce the number of researchers by 140,000. For the timely supply of the technical information, which is expected to be a major industry base in the year 2000, Korean government has already started to invest and continuously increased key projects which are focused on the database architectures, information distribution systems, and organizations for the information dissemination.

  • PDF

The Impact of Income Inequality on Economic Growth: Empirical Evidence from Vietnam

  • HIEN, Luong Quang
    • The Journal of Asian Finance, Economics and Business
    • /
    • 제9권2호
    • /
    • pp.305-312
    • /
    • 2022
  • Each country's economic progress creates opportunities for its citizens to raise their income. Meanwhile, the country has secured the people's social security policies, particularly the protection of income equality, to promote harmonious and sustained economic development. Vietnam has been located in a dynamic economic development area in Southeast Asia since the 1986 economic reforms, with an annual growth rate of around 7%. Meanwhile, having achieved a middle-income status of roughly 3500 USD per person per year, Vietnam is attempting to maintain income equality and access to welfare systems for its inhabitants. As a result, the primary goal of this study is to use an autoregressive distributed lagged model to investigate the effects of income inequality and other economic factors such as foreign direct investment and trade openness on Vietnam's economic growth from 1992 to 2019. The research focuses attention on literature on income inequality, economic development indicators, and economic development in unique ways in this study. Income inequality slows the rate of change in economic development in the same year, according to our findings. Finally, the study will make policy suggestions to the Vietnamese government.

하수도정비기본계획 시행 후의 투자적정성 분석에 관한 사례 연구 (Case Study of Investment Adequacy Analysis After Implementing Master Plan on Sewerage Rehabilitation)

  • 박규홍;강병준;임병인;강만옥;박주양;김성태;박완규
    • 상하수도학회지
    • /
    • 제29권4호
    • /
    • pp.503-510
    • /
    • 2015
  • The objective of this study is to analyze the investment adequacy of the projects implemented according to the master plan on sewerage rehabilitation at Seoul. The planned and actually implemented ratio of invested money on sewage treatment plants (STPs) to sewers were compared in two temporal periods. Though the planned ratio of investment on STPs to sewers was 50:50 (in 2009-2020), the actual implemented ratio in 2009-2013 was 34:66. Until 2020, the greater investment ratio on STPs to sewers should be made considering the necessity of coping with stricter legal compliance on advanced treatment, stormwater treatment and so on. The priority of the planned and partially implemented projects among four STPs and at each STP was evaluated. Considering only the performance indicator of reduced load of BOD, T-N, T-P per the capacity of each STP facility, the performance among four STPs was shown as Jung-Rang>Tan-Cheon>Seo-Nam>Nan-Ji. The reverse order of the performance results in the past may be considered for future investment priority, but the efficiency of operation implemented at each STP, deteriorated status of each STP, investment in the past and so forth should also be considered. As for the priority of projects conducted within each STP, projects related to legal compliance (such as advanced tertiary treatment, stormwater treatment, etc.) have highest priority. Odor-related project and inhabitant-friendly facility related projects (such as building park on STPs, etc.) has lower priority than water quality related projects but interactivity with end-users of sewerage should also be important.

북한 천연가스산업과 석탄산업 투자에 따른 경제적 파급효과 (The Economic Effect of Industrial Investment on North Korea Natural Gas and Coal)

  • 김형태;채정민;조영아
    • 에너지공학
    • /
    • 제25권3호
    • /
    • pp.1-8
    • /
    • 2016
  • 현재 북한은 국제사회와의 마찰로 인한 경제제재와 에너지 생산 감소로 산업생산력 저하라는 경제위기를 겪고 있다. 본 논문에서는 북한의 경제회복과 에너지산업 협력을 위해 필요한 천연가스산업과 석탄산업의 기술현황과 에너지 산업 투자 방안에 대해 분석하였고, 에너지 산업 투자가 남북한에 미치는 경제적 파급 효과를 계산 하였다. 북한의 경제적 파급효과를 분석하기 위하여 2014년도 산업연관표(북한)를 작성하였고, 투입-산출모형을 이용하였다. 천연가스산업과 석탄산업 투자의 파급효과는 각각 10.12억 달러, 27.42억 달러이다. 또한, 남한의 경제에 미치는 파급 효과를 분석하기 위해 2013년 산업연관표(남한)와 산업연관분석의 수요유도형 모형을 이용하였다. 천연가스 및 석탄 산업 투자의 생산유발효과, 부가가치유발효과, 취업유발효과는 각각 2.02073, 0.62697, 8.99409, 2.02130, 0.62701, 9.00413으로 계산되었다.

고속도로 건설사업의 재정/민자 발주선택 의사결정 지원모델 (Decision Support Model for Determining Public or Private Highway Investment Projects)

  • 여동훈;정우용;한승헌;이영천
    • 대한토목학회논문집
    • /
    • 제29권3D호
    • /
    • pp.381-389
    • /
    • 2009
  • 2007년 기준으로 정부는 18.4조원을 사회기반시설에 투자하고 있으며, 이 중 16.3%에 해당되는 3조원을 민간투자 사업에 집행하고 있다. 이는 인프라 시설에 대한 국민적인 요구를 충족시킴과 동시에 재정부담을 경감하고 사업 추진시 위험을 축소시키기 위한 것이다. 하지만 현재 국가 인프라 사업은 기획단계에서 재정사업 또는 민자사업으로 결정하는 체계적인 기준이나 지침이 없이 주로 재정 상태를 고려한 주무관청의 자체판단에 따라 사업추진 방식이 결정되고 있다. 또한 초기에 재정 사업으로 추진되는 경우에도, 사업타당성 조사를 실시하는 과정에서 민자사업으로서의 가능성은제대로 평가되지 않는 상황이다. 따라서 본 연구는 국가 인프라사업에 대하여 재정사업과 민자사업을 선택하는 합리적인 발주기준을 제시하는 것을 목표로 한다. 이를 위하여 고속도로 사업을 중심으로 재정 민자 의사결정 기준을 경제성, 정책성, 사업관리 항목으로 나누고 이를 바탕으로 재정 민자 의사결정 모델을 제시하였다. 본 연구에서는 의사결정 모델을 구축하기 위해 30건의 재정 및 민자사업 실제 사례를 분석하고 102건의 전문가 설문을 실시하였다. 본 모델은 크게 두 단계로 구분되는데, 첫째 경제성 평가는 평균 및 표준편차 분석을 통해 민자불가, 재정민자 양측가능 및 재정불가 구간을 제시하였으며, 둘째 정책성 평가와 사업관리 평가는 로지스틱 회귀분석을 실시함으로써 재정 또는 민자사업의 추진여부를 구분 짓는 예측식을 도출하였다. 본 연구의 결과를 통해 고속도로 사업의 기획단계에 참여하는 의사결정자는 고려중인 사업의 재정 민자사업 결정시 보다 체계적이고 합리적인 사업발주방식을 결정할 수 있을 것으로 사료된다.