The Crisis of Mongolian Banking Industry

碩士 === 國立臺北科技大學 === 經營管理系碩士班 === 105 === This study is to find out how the economic downturn affects the Mongolian banking industry through international use, and whether the use of pre-signal indicators gives signals (banking crises). This research uses two ways to determine the banking crisis in i...

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Main Authors: Buyanjargal Buyansukh, 柏揚
Other Authors: 吳斯偉
Format: Others
Language:zh-TW
Published: 2017
Online Access:http://ndltd.ncl.edu.tw/handle/gzumsj
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spelling ndltd-TW-105TIT054570152019-05-15T23:53:22Z http://ndltd.ncl.edu.tw/handle/gzumsj The Crisis of Mongolian Banking Industry 蒙古銀行業危機之探討 Buyanjargal Buyansukh 柏揚 碩士 國立臺北科技大學 經營管理系碩士班 105 This study is to find out how the economic downturn affects the Mongolian banking industry through international use, and whether the use of pre-signal indicators gives signals (banking crises). This research uses two ways to determine the banking crisis in international experience: Event based method, Index based method. Based on the results of these two to find out the crisis period of the Mongolian banking industry, and whether the overall signal in the crisis period is a prediction signal. The results of the survey of the Mongolian economy in 1999-2001 and 2009-2010 total of 2 times the banking sector identified that occurred crisis. In addition, according to the study proposed from 2015 onwards the banking crisis characteristics. In the study, the total signal index was observed from August 2008 (8 months ago) to give the signal, and in March 2009 (1 month ago) stronger given the signal from 2009 to 2010 the banking crisis. The overall signal indicator gives a signal from March 2015 starting from June 2015 (over the first threshold), indicating that the Mongolian banking industry is starting a crisis. So in August 2016 (more than the second threshold) is clearly given the signal to remind the banking industry may be affected by the crisis. 吳斯偉 2017 學位論文 ; thesis 45 zh-TW
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description 碩士 === 國立臺北科技大學 === 經營管理系碩士班 === 105 === This study is to find out how the economic downturn affects the Mongolian banking industry through international use, and whether the use of pre-signal indicators gives signals (banking crises). This research uses two ways to determine the banking crisis in international experience: Event based method, Index based method. Based on the results of these two to find out the crisis period of the Mongolian banking industry, and whether the overall signal in the crisis period is a prediction signal. The results of the survey of the Mongolian economy in 1999-2001 and 2009-2010 total of 2 times the banking sector identified that occurred crisis. In addition, according to the study proposed from 2015 onwards the banking crisis characteristics. In the study, the total signal index was observed from August 2008 (8 months ago) to give the signal, and in March 2009 (1 month ago) stronger given the signal from 2009 to 2010 the banking crisis. The overall signal indicator gives a signal from March 2015 starting from June 2015 (over the first threshold), indicating that the Mongolian banking industry is starting a crisis. So in August 2016 (more than the second threshold) is clearly given the signal to remind the banking industry may be affected by the crisis.
author2 吳斯偉
author_facet 吳斯偉
Buyanjargal Buyansukh
柏揚
author Buyanjargal Buyansukh
柏揚
spellingShingle Buyanjargal Buyansukh
柏揚
The Crisis of Mongolian Banking Industry
author_sort Buyanjargal Buyansukh
title The Crisis of Mongolian Banking Industry
title_short The Crisis of Mongolian Banking Industry
title_full The Crisis of Mongolian Banking Industry
title_fullStr The Crisis of Mongolian Banking Industry
title_full_unstemmed The Crisis of Mongolian Banking Industry
title_sort crisis of mongolian banking industry
publishDate 2017
url http://ndltd.ncl.edu.tw/handle/gzumsj
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