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세계 평화정착을 위한 금융안정화 제도의 고찰 : 일본의 법제도를 중심으로
A Study on the Financial Stabilization Policy for Keeping the World Peace

첫 페이지 보기
  • 발행기관
    한국평화연구학회 바로가기
  • 간행물
    평화학연구 KCI 등재 바로가기
  • 통권
    제11권 4호 (2010.12)바로가기
  • 페이지
    pp.225-251
  • 저자
    고재종
  • 언어
    한국어(KOR)
  • URL
    https://www.earticle.net/Article/A133919

※ 원문제공기관과의 협약기간이 종료되어 열람이 제한될 수 있습니다.

원문정보

초록

영어
At the late of 2008, the chaos of the international financial market brought on the Lehman Brothers Holdings bankruptcy and sub-prime mortgage loan of U.S. have an severe effect on the environment of the japanese financial market as well as the financial market environment of the many countries of the world. That is to say, the case that fell down the stock price suddenly happened by the interest rate growth of the short-terms market from rising the counter-party risk, the effect on the foreign investor's position return, the trouble of economic depression and growth of the japanese money value.
As the result, the permission degree of the institutional investor was worse off gradually, the acceptance of the CP and corporate debenture was to stop in fact and the function of capital market was fell in the wicked swamp.
Of course, the japanese financial environment was not caused by the financial risk of U.S. Japan was financial risk conditions during the about 10 years from 1990 year and strived for solving these problems instantly. Then the shock of these financial risk resulted from the U.S. was not severe effects on the japan when compared in the shock of the other countries, relatively. If so, Japan also can not free oneself from the impacts and is constant struggle for the solving for these problems. However, the japan chose the complementary measures of earlier existing the systems than the establishment of new systems as the methods solving the financial crisis resulted from the end of 2007 years.
Therefore, in this article, I will consider how to settle the matters resulted from the japanese financial crisis after 1990 years. As the result, Japan settled the above mentioned matters through the methods such as the enactment of the law for financial function reinforcement, the supply enlargement of public capital through the deposit and insurance system, the stabilization policy of the securities market and the support measures for the small and medium corporate, the living measures for financial consumers. Specially, in this article, I will study on the two problems of the law for financial function reinforcement and the deposit and insurance system.

목차

[국문요약]
 I. 들어가는 말
 II. 일본의 금융위기 및 그 대응
  1. 일본의 금융위기의 배경
  2. 글로벌 금융위기에 대한 일본의 대응
  3. 소결
 III. 일본의 금융안정화 정책 
  1. 예금보험제도와 금융안정화 대책
  2. 금융기능강화법의 개정과 금융안정화 대책
  3. 소결
 IV. 맺는 말
 참고문헌

키워드

금융안정화 정책 금융기능강화법 예금자보호법 예금보험제도 금융기관의 파탄 중소기업지원대책 금융시장안정대책 생활지원대책 financial stabilization policy japan financial regulation Lehman Brothers Holdings financial risk financial stabilization law financial environment.

저자

  • 고재종 [ Koh jae-jong | 선문대학교 ]

참고문헌

자료제공 : 네이버학술정보

간행물 정보

발행기관

  • 발행기관명
    한국평화연구학회 [The Korean Association of Peace Studies]
  • 설립연도
    2003
  • 분야
    사회과학>정치외교학
  • 소개
    본회는 평화학의 이론과 실제를 연구하여 인류의 평화와 번영 및 한반도의 평화와 통일에 기여함을 목적으로 한다

간행물

  • 간행물명
    평화학연구 [THE JOURNAL OF PEACE STUDIES]
  • 간기
    계간
  • pISSN
    1738-2580
  • 수록기간
    2004~2024
  • 등재여부
    KCI 등재
  • 십진분류
    KDC 340 DDC 320

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