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From the 1997-98 Asian financial crisis to the 2008-09 global economic crisis: lessons from Korea’s experience

机译:从1997-98亚洲金融危机到2008-09全球经济危机:从韩国的经验中汲取教训

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摘要

East Asian countries were hit hard by the financial crisis in 1997 and have shown significant and remarkable recovery with far-reaching economic and regulatory reforms since then. A decade later, the Asian countries are suffering again from the on-going global economic crises beginning in the summer of 2007. If this current crisis is not managed effectively, the Asian economic situation could escalate into a more serious crisis mode than that of 1997-8. Due to the increased globalization of financial markets, crises tend to become more severe and contagious even if the effected countries have strong macroeconomic fundamentals. This paper focuses on the Korean economy, which experienced the hardest crisis hit as well as most successful recovery from the 1997 crisis, and discusses interrelated and general policy lessons from the 1997 and 2008 crises to help prevent from the reoccurrence of similar financial crises and economic downturns in the future. Specific lessons, among many, to be analyzed in this paper are drawn on 1) monitoring international capital flows and conducting better international debt management, 2) maintaining a competitive, efficient and well-regulated financial system to be protected from international contagion, 3) establishing an effective nonperforming asset management mechanism, such as the Korea Asset Management Corporation (KAMCO) of Korea, and 4) enhancing regional financial cooperation among the East Asian countries, like a renewed Chiang Mai Initiative, to provide a short-term liquidity support, defend Asian currencies from speculative attack, and assist long-term economic growth in the East Asian region. In deriving the main policy lessons, both the commonalities and uniqueness of the two crises-old in 1997 and new in 2008-are examined from the perspective of the Korean economy.
机译:东亚国家在1997年受到金融危机的沉重打击,并且自那时以来经过广泛的经济和监管改革,已显示出显着且显着的复苏。十年后,从2007年夏季开始,亚洲国家再次遭受持续的全球经济危机的困扰。如果当前的危机未能得到有效处理,亚洲经济形势可能会升级为比1997年更为严重的危机模式-8。由于金融市场日益全球化,即使受灾国家具有强大的宏观经济基础,危机也趋于加剧和蔓延。本文重点介绍经历了最严重的危机打击以及从1997年的危机中恢复最为成功的韩国经济,并讨论了从1997年和2008年危机中相互联系的和一般性的政策教训,以帮助防止类似的金融危机和经济再次发生。未来的低迷时期。本文中要分析的许多具体经验教训是基于以下方面:1)监控国际资本流动并进行更好的国际债务管理; 2)维持有竞争力,高效且监管良好的金融体系,以免受国际传染; 3)建立有效的不良资产管理机制,例如韩国的韩国资产管理公司(KAMCO),以及4)加强东亚国家之间的区域金融合作,例如新的《清迈倡议》,以提供短期流动性支持,保护亚洲货币免受投机攻击,并协助东亚地区的长期经济增长。在推导主要政策课程时,从韩国经济的角度审视了1997年和2008年的两次危机的共性和独特性。

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    Jeon Bang Nam;

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  • 年度 2012
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  • 正文语种 {"code":"en","name":"English","id":9}
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