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題名:日本1990年代之金融危機:日本央行的因應對策、教訓與啟示
書刊名:存款保險資訊季刊
作者:林曉伶
出版日期:2005
卷期:18:1
頁次:頁118-179
主題關鍵詞:日本金融危機
原始連結:連回原系統網址new window
相關次數:
  • 被引用次數被引用次數:期刊(0) 博士論文(0) 專書(0) 專書論文(0)
  • 排除自我引用排除自我引用:0
  • 共同引用共同引用:0
  • 點閱點閱:2
期刊論文
1.Bank of Japan(2001)。Japan's financial structure: in view of the flow of funds accounts。Quarterly Bulletin,2001(Feb.)。  new window
2.Mori, N.、Shiratsuka, S.、Taguchi, H.(2001)。Policy Responses to the Post-Bubble Adjustments in Japan: A Tentative Review。Monetary and Economic Studies,19 (S-1),53-102。  new window
3.Morris, S.、Shin, H. S.(1998)。Unique equilibrium in a model of self-fulfilling currency attacks。American Economic Review,88(3),587-597。  new window
4.Okina, K.、Shirakawa, M.、Shiratsuka, S.(2001)。The asset price bubble and monetary policy: Japan's experience in the late 1980s and the lessons。Monetary and Economic Studies,19(S-1),395-450。  new window
5.Nakaso, H.(1999)。Recent banking sector reforms in Japan。FRBNY Economic Policy Review,1999(Jul.)。  new window
6.Allen, Franklin、Gale, Douglas(2000)。Financial Contagion。Journal of Political Economy,108(1),1-33。  new window
會議論文
1.Shimizu, T.、Ui, T.(1998)。Contagions, expectations and malfunctions of markets: some lessons from Japanese financial institution failures of 1997。The Second Joint Central Bank Research Conference。  new window
2.Volcker, P.(1999)。Structural change in Japanese financial services: a global perspective。Warburg Dillon Read Conference,(會議日期: 2 November)。Tokyo。  new window
研究報告
1.Borio, C. E. V.、Furfine, C.、Lowe, P.(2001)。Procyclicality of the financial system and financial stability: issues and policy responses。  new window
2.Hayakawa, H.、Maeda, E.(2000)。Understanding Japan's financial economic developments since autumn 1997。Research and Statistics Department, Bank of Japan。  new window
3.Hanajiri, T.(1999)。Japan premiums in autumn 1997 and autumn 1998: why did premiums differ between markets?。Bank of Japan。  new window
圖書
1.Bank of Japan。Annual Review 2000。  new window
2.Bank of Japan。Annual Review 1999。  new window
3.Bank for International Settlements(2001)。71st annual Report。Basel。  new window
4.Bank for International Settlements(1993)。63rd Annual Report。Basel。  new window
5.Cargill, T.、Hutchison, M.、Itoh, T.(2000)。Financial policy and central banking in Japan。The MIT Press。  new window
6.Deposit Insurance Corporation of Japan。Annual Report 1999。  new window
7.Deposit Insurance Corporation of Japan。Annual Report 1998。  new window
8.International Swap Dealers Association。Master Agreement 1992。  new window
9.Bayoumi, Tamim、Collyns, Charles(2000)。Post-bubble blues: how Japan responded to asset price collapse。International Monetary Fund。  new window
10.Llewellyn, D. T.(2000)。A regulatory regime for financial stability。  new window
11.Okina, Y.(1998)。Public disclosure and Japan's financial system。Toyo Keizai Shimposha。  new window
12.Ohashi, K.、Hamada, H.、Sumida, K.(2001)。Effects of financial consolidation from the viewpoint of risks。Financial System Division, Bank of Japan。  new window
13.Sveriges Riksbank(1997)。Financial Market Report。  new window
14.Sveriges Riksbank(1999)。Financial Stability Report。  new window
15.Takeda, M.、Turner, P.(1992)。The liberalisation of Japan's financial markets: some major themes。  new window
單篇論文
1.Bank for International Settlements(1998)。Implications of structural change for the nature of systemic risk。  new window
2.Basel Committee on Banking Supervision,Committee on Banking Regulations and Supervisory Practices(1983)。Principles for the supervision of banks' foreign establishments,Basle。  new window
3.Bank of Japan, Financial System Division(2000)。Changes in Bank Behaviour during the Financial Crisis: Experiences of the Financial Crisis in Japan。  new window
4.Federation of Bankers Association of Japan(1994)。The banking system in Japan。  new window
5.Dornbusch, R.,Yung, C. P.,Claessens, S.(2000)。Contagion: how it spreads and how it can be stopped?。  new window
6.Diamond, D.,Yntema, T. O.(2000)。Should Japanese Banks Be Recapitalized?。  new window
7.Frankel, A.,Morgan, P. B.(1991)。Deregulation and competition in Japanese banking,Board of Governors of the Federal Reserve System。  new window
8.Financial System Council(1999)。Report on the framework of the deposit insurance system and resolution of failed financial institutions after the termination of special measures。  new window
9.Hutchison, M.,McDill, K.(1998)。Are all banking crises alike?--the Japanese experience in international comparison,Santa Cruz:Department of Economics Social Sciences, University of California。  new window
10.Sheard, P.(2001)。Corporate mega reorganisation。  new window
其他
1.Ieda, A.(1999)。Estimation of expected default probabilities implied in market prices of corporate bonds using vredit risk pricing model,Institute for Monetary and Economic Studies, Bank of Japan。  new window
2.Mieno, Y.(19941031)。The maintenance of financial system stability and the role of the Bank of Japan,Tokyo。  new window
圖書論文
1.Group of Ten(2001)。Effects of consolidation on financial risk。Report on consolidation in the financial sector。  new window
2.Llewellyn, D. T.(1999)。The institutional Structure of regulatory agencies。How countries supervise their banks, insurers and securities markets。Central Banking Publications。  new window
3.Ministry of Finance, Sweden(1992)。Measures for strengthening the financial system。Government Bill。  new window
4.Research Group on Prospects for Management of Financial Institutions in Japan and the United States in the 21st Century(2000)。Japanese banks: options to become winners。Kinyuu Zaisei Jijou Kenkyuu Kai。  new window
 
 
 
 
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