The Neoliberal Strategy of South Korean Conglomerates

IF 0.5 Q4 ECONOMICS
Kyung-Pil Kim
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引用次数: 2

Abstract

Neoliberal strategy, which was adopted and implemented after 1987, lies behind the success of South Korean conglomerates (chaebols), and it was strengthened during the Asian financial crisis in 1997. Faced with new spatio-temporal conditions and the massive struggle of workers, the chaebols started a project to restore capitalist power. To this end, the chaebols actively supported the political powers who represented them and adopted American and Japanese strategies for globalization and flexibilization. After enduring the 1997 crisis, the chaebols shifted from growth- to profit-orientedness due to external pressures, and neoliberal strategy intensified due to an emphasis on globalization and flexibilization. However, the chaebols’ neoliberal strategy should be defined as distinctly Korean. They still maintain corporate governance in which the ownership and management are combined, mobilize resources for the owners’ objectives, and conduct unrelated diversification. In addition, the chaebols have accumulated capital by transforming themselves into industrial, commercial, or financial capital since the 1950s.
韩国大企业集团的新自由主义战略
1987年以后开始实施的新自由主义战略是韩国大企业(财阀)成功的基础,并在1997年外汇危机时得到强化。面对新的时空条件和工人的大规模斗争,财阀开始了恢复资本主义权力的计划。为此,财阀们积极支持代表他们的政治势力,并采取了美国和日本的全球化和灵活化战略。在经历了1997年的金融危机后,财阀们迫于外部压力,从以增长为导向转向以利润为导向,而新自由主义战略则因强调全球化和灵活性而得到强化。但是,财阀的新自由主义战略应该被定义为具有鲜明的韩国特色。他们仍然保持所有权和经营权相结合的公司治理,为所有者的目标调动资源,进行不相关的多元化经营。此外,财阀从上世纪50年代开始,通过转型为产业、商业或金融资本,积累了资本。
本文章由计算机程序翻译,如有差异,请以英文原文为准。
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来源期刊
CiteScore
0.60
自引率
0.00%
发文量
27
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