Shin Dong Jeung

Financial Supervisory Services of Korea

Director General

38 Yeoui-daero, Youngdeungpo-gu

Seoul, DC 07321

Korea, Republic of (South Korea)

SCHOLARLY PAPERS

13

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SSRN CITATIONS

11

CROSSREF CITATIONS

2

Scholarly Papers (13)

1.

The Effect of Capitalization on Banks' Risk Under Regulation and Managerial Moral Hazard: A Theoretical and Empirical Investigation

Number of pages: 91 Posted: 10 Dec 2004
Thomas D. Jeitschko and Shin Dong Jeung
Michigan State University - Department of Economics and Financial Supervisory Services of Korea
Downloads 999 (42,447)
Citation 3

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Banks' risk, bank capitalization, option value of deposit insurance, equity value maximization, moral hazard

2.

Incentives for Risk-Taking in Banking - a Unified Approach

Number of pages: 60 Posted: 21 Aug 2003
Thomas D. Jeitschko and Shin Dong Jeung
Michigan State University - Department of Economics and Financial Supervisory Services of Korea
Downloads 869 (51,534)
Citation 5

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Banks' risk, Moral hazard, Bank capitalization, Option value of deposit insurance, Equity value maximization, Agency, Managerial private benefit

3.

Do Well-Capitalized Banks Take More Risk? Evidence from the Korean Banking System

Number of pages: 36 Posted: 10 Sep 2006
Thomas D. Jeitschko and Shin Dong Jeung
Michigan State University - Department of Economics and Financial Supervisory Services of Korea
Downloads 446 (120,100)

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Banks' Risk, Bank Capitalization, Bank Regulation

4.
Downloads 309 (180,601)

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솔밴시 II, RBC제도, 자기자본, 기급여력, 리스크, Solvency II, RBC regime, capital, solvency, risk

5.

바젤Ⅲ 자본규제 강화의 주요 내용과 국내 금융안정에 대한 시사점 (Basel Ⅲ Capital Regulatory Reform and Its Implication to Financial Stability)

Financial Stability Studies, Vol. 12, No. 1, Korea Deposit Insurance Corporation(KDIC), 2011, pp. 175-221.
Number of pages: 47 Posted: 13 Aug 2017 Last Revised: 09 Jan 2019
Shin Dong Jeung
Financial Supervisory Services of Korea
Downloads 244 (229,625)

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바젤III, 보통주자본, 자본의 질, 완충자본, 부도확률, 시스템리스크, Basel Ⅲ, Common Equity Capital, Quality of Capital, Capital Buffer, Probability of Default, Systemic Risk

6.

글로벌 금융위기와 바젤III 유동성 규제기준의 도입 (An Evaluation on the Basel III Liquidity Regulation)

Number of pages: 40 Posted: 29 Aug 2017 Last Revised: 24 Jan 2018
Keonbeom Lee and Shin Dong Jeung
Independent and Financial Supervisory Services of Korea
Downloads 186 (295,689)

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바젤III유동성규제, 유동성커버리지비율, 순안정조달비율, Basel III liquidity regulation, liquidity coverage ratio, net stable funding ratio

7.

Scor모형을 활용한 상호저축은행 조기경보시스템 연구* (A Study on Early Warning System - An Application of SCOR System to Korean Mutual Savings Banks)

Number of pages: 36 Posted: 29 Aug 2017 Last Revised: 31 Aug 2017
Yeong Gi Kim and Shin Dong Jeung
Independent and Financial Supervisory Services of Korea
Downloads 87 (527,862)

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Early Warning System, SCOR model, Potential Problem Banks, 조기경보, SCOR모형, 부실징후은행, 문제개무지표표

8.

바제III와 글로벌 금융규제의 개혁 (Basel III and Global Financial Regulatory Reform)

Number of pages: 421 Posted: 02 Feb 2018
Shin Dong Jeung
Financial Supervisory Services of Korea
Downloads 45 (736,819)

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9.

은행 자기자본 규제제도의 유효성에 관한 문헌연구 (A Critical Review on the Relationship between Bank's Risk Taking Incentives and Capitalization)

Financial Stability Studies, Vol. 6, No. 2, Korea Deposit Insurance Corporation(KDIC), 2005, pp. 81-115.
Number of pages: 35 Posted: 19 Aug 2017 Last Revised: 10 Jan 2019
Shin Dong Jeung
Financial Supervisory Services of Korea
Downloads 42 (757,328)

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자산대체 도덕적 해이, 자본충실도, 예금보험의 옵션가치, Asset Substitution Moral Hazard, Capitalization, Option Value

10.

An Evaluation on an Evaluation on the Korea Financial Hub Strategy (동북아 금융허브 전략에 대한 평가와 제언)

Number of pages: 26 Posted: 13 Feb 2018
Shin Dong Jeung
Financial Supervisory Services of Korea
Downloads 37 (793,485)

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참여정부, 금융허브, 자산운용업, 금융규제완화 (Participating Government, financial hub, asset management industry, financial regulatory reform)

11.

Managerial Incentives and Risk-Taking Behaviors of Fund Managers

Asian Review of Financial Research Vol.24 No.3, August 2011
Number of pages: 32 Posted: 28 Aug 2017 Last Revised: 31 Aug 2017
Seungyeon Won, Jae Joon Han and Shin Dong Jeung
Myongji University - Business, Inha University and Financial Supervisory Services of Korea
Downloads 30 (849,364)

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Asymmetrical Information, Fund Manger, Fund Performance, Managerial Incentive, Risk-Taking Behavior

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금융산업 조기경보, 위험지수, 위험선행지수, 통계CAEL, 자본적정성, 신용등급, 부도확률, financial industry, earning warning risk index, leading risk index, statistical CAEL, capital adequacy, credit rating, default frequency

13.

The Effect of Capitalization on Bank Risk in the Presence of Regulatory and Managerial Moral Hazards

The Icfai Journal of Bank Management, Vol. 12, No. 2, pp. 7-31, May 2008
Posted: 29 Apr 2008 Last Revised: 09 Jan 2014
Thomas D. Jeitschko and Shin Dong Jeung
Michigan State University - Department of Economics and Financial Supervisory Services of Korea

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