The Korean Financial Crisis of 1997—A Strategy of Financial Sector Reform

After years of strong performance, Korea's economy entered a crisis in 1997, owing largely to structural problems in its financial and corporate sectors. These problems emerged in the second half of that year, when the capital inflows that had helped finance Korea's growth were reversed, as foreign investors-reeling from losses in other Southeast Asian economies-decided to reduce their exposure to Korea. This paper focuses on the sources of the crisis that originated in the financial sector, the measures taken to deal with it, and the evolution of key banking and financial variables in its aftermath.
Publication date: March 1999
ISBN: 9781451844641
$15.00
Add to Cart by clicking price of the language and format you'd like to purchase
Available Languages and Formats
English
Prices in red indicate formats that are not yet available but are forthcoming.
Topics covered in this book

This title contains information about the following subjects. Click on a subject if you would like to see other titles with the same subjects.

Banks and Banking , Banks and Banking , Finance , Finance , Financial crises , prudential regulations , banking supervision , financial institutions , banking , financial system , bonds , financial sector

Summary