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題名:新版巴賽爾資本協定與銀行信用風險測度模型的發展:兼論對我國銀行體系與央行政策的影響
書刊名:中央銀行季刊
作者:楊蓁海
出版日期:2005
卷期:27:1
頁次:頁47-86
主題關鍵詞:銀行新版巴賽爾資本協定信用風險Basel Ⅱ
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(7) 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:6
  • 共同引用共同引用:20
  • 點閱點閱:29
期刊論文
1.沈中華(2003)。Basel II 的缺點及改建建議。台灣金融財務季刊,4(1)。  延伸查詢new window
2.徐如慧(2002)。新版巴賽爾資本協定總論(上) --概述及信用風險計算方法。證交資料,482。  延伸查詢new window
3.徐如慧(2003)。信用風險內部評等法之一:企業金融。證交資料,496。  延伸查詢new window
4.徐如慧(2003)。信用風險內部評等法之一:企業金融。證交資料,497。  延伸查詢new window
5.張大成(2002)。新巴賽爾協定:過去、現在與未來。保險資訊季刊,16(2)。new window  延伸查詢new window
6.張大成(2003)。違約機率與信用評分模型。臺灣金融財務季刊,4(1)。new window  延伸查詢new window
7.陳錦村(2002)。金融機構如何利用標準法與自建模型,衡量信用風險與市場風險的資本要求額。信用資訊,2(4),1-44。  延伸查詢new window
8.曾令寧、陳威光(1999)。信用風險模型簡介--信用計量法及信用風險加成法。存款保險資訊季刊,13(2)。new window  延伸查詢new window
9.敬永康(2002)。新版巴賽爾協定--內部評等制度(一)、(二)違約損失率。貨幣觀測與信用評等,33。  延伸查詢new window
10.Mingo, J. J.(2000)。Policy implications of the Federal Reserve study of credit risk models at major US banking institutions。Journal of Banking & Finance,24,15-33。  new window
11.Van den Heuvel, Skander J(2002)。Does Bank Capital Matter For Monetary Transmission?。Economic Policy Review。  new window
12.潘雅慧(20020600)。新巴塞爾資本協定及信用風險模型化之研析。中央銀行季刊,24(2),35-53。new window  延伸查詢new window
13.Beaver, W. H.(1966)。Financial Ratios as Predictors of Failure。Journal of Accounting Research,4(3),71-111。  new window
14.Crouhy, Michel D.、Galai, Dan、Mark, Robert(2000)。A Comparative Analysis of Current Credit Risk Models。Journal of Banking and Finance,24(1/2),59-117。  new window
15.Merton, Robert C.(1974)。On the Pricing of Corporate Debt: The Risk Structure of Interest Rates。The Journal of Finance,29(2),449-470。  new window
會議論文
1.Federal Reserve Board、Ferguson, Roger W. Jr(2003)。Basel II--some issues for implementation。The Basel Sessions 2003,(會議日期: 2003/06/17)。New York:Institute of the International Finance。  new window
2.Federal Reserve Board、Ferguson, Roger W. Jr.(2003)。Basel II--discussion of complex issues。The committee on Banking, Housing, and Urban Affairs,(會議日期: 2003/06/18)。U.S. Senate。  new window
3.Topping, S.(2003)。Basel II--implications for Hong Kong。"Basel II -implications for Hong Kong" Seminar,(會議日期: 2003/07/05)。Hong Kong。  new window
研究報告
1.Bank for International Settlement、Basel Committee on Banking Supervision(2003)。The New Basel Capital Accord。  new window
2.Borio, C.、Furfine, C.(2001)。Procyclicality of the Financial System and Financial Stability: Issues and Policy Options。  new window
3.Federal Reserve System Task Force on Internal Credit Risk Models(199805)。Credit Risk Models at Major U. S. Banking Institutions: Current State of the Art and Implications for Assessments of Capital Adequacy。  new window
圖書
1.沈中華、郭照榮(2001)。金融機構管理。華泰公司。  延伸查詢new window
2.Allen, L.、Saunders, A.(2002)。A Survey of Cyclical Effects in Credit Risk Measurement Models。Stern School of Business, NYU。  new window
3.Basel Committee on Banking Supervision(199904)。Credit Risk Modeling : current Practices and Applications。  new window
4.Basel Committee on Banking Supervision(200101)。The Internal Ratings-Based Approach。  new window
5.Berger, A. N.、Udell, G. F.(2002)。The Institutional Memory Hypothesis and the Procyclicality of Bank Lending Behavior。Federal Reserve Board。  new window
6.Bessis, J.(2002)。Risk Management in Banking。John Wiley & Sons Ltd.。  new window
7.Bliss, R. R.、Kaufman, G. G.(2002)。Bank Procyclicality, Credit Crunches, and Asymmetric Monetary Policy Effects: A Unifying Model。  new window
8.Carpenter, S. B.、Whitesell, W.、Zakrajsek, E.(2001)。Capital Requirements, Business Loans and Business Cycles:An Empirical Analysis of the Standardized Approach in the New Basel Accord。Federal reserve Board。  new window
9.Sinkey, J. F., Jr.(1998)。Commercial Bank Financial Management。N. J.:Prentice Hall。  new window
10.Saunders, A.、Allen, L.(2002)。Credit Risk Management。McGraw-Hill Irwin。  new window
11.Saunders, A.、Cornett, M. M.(2003)。Financial Institutions Management。John Wiley & Sons Ltd.。  new window
12.陳威光(2001)。衍生性金融商品--選擇權、期貨與交換。智勝。  延伸查詢new window
13.周大慶、沈大白、張大成、敬永康、柯瓊鳳(2002)。風險管理新標竿--風險值理論與應用。臺北:智勝文化。  延伸查詢new window
單篇論文
1.Basel Committee on Banking Supervision(200305)。Quantitative Impact Study 3 -- Overview of Global Results。  new window
其他
1.Basel Committee on Banking Supervision(2001)。The Standardised Approach to Credit Risk。  new window
圖書論文
1.Altman, E. I.(1985)。Managing the Commercial Lending Process。Handbook of Baking Strategy。John Wiley & Sons Ltd.。  new window
2.Zsamboki, B.(2002)。The effects of prudential regulation on banks' procyclical behaviour。Studies on the Procyclical Behaviour of Banks。  new window
 
 
 
 
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