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題名:影響我國企業負債融資工具選擇因素之探討
書刊名:財金論文叢刊
作者:王漢民 引用關係曹秀惠
作者(外文):Wang, Han-minTsaur, Shiow-huey
出版日期:2005
卷期:2
頁次:頁53-78
主題關鍵詞:代理問題私下募集資訊不對稱
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(1) 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:51
期刊論文
1.Denis, D. J.、Mihov, V. T.(2002)。The Choice among Bank Debt, Non-bank Private Debt and Public Debt: Evidence from New Corporate Borrowings。Journal of Financial Economics,70(1),3-28。  new window
2.Schmidt, Peter、Strauss, Robert P.(1975)。The Prediction of Occupation Using Multiple Logit Models。International Economic Review,16(2),471-486。  new window
3.Smith, C.、Warner, J.(1979)。Bankruptcy, Secured Debt and Optimal Capitald Comments。Journal of Finance,Mar.,247-252。  new window
4.Smith, C.(1977)。Alternative Methods for Raising Capitald Rights versus under written Offerings。Journal of Financial Economics,Dec.,273-307。  new window
5.Jung, K.、Kim, Y. C.、Stulz, R.(1995)。Timing, Investment Opportunities, Managerial Discretion, and the Security Issue Decision。Journal of Financial Economics,42,159-185。  new window
6.Johnson, S. A.(1997)。An Empirical Analysis of the Determinants of the Corporate Debt Ownership Structure。Journal of Financial and Quantitative Analysis,32,47-69。  new window
7.Diamond, D. W.(1991)。Monitoring and Reputation: The Choice between Bank Loans and Directly Place Debt。Journal of Political Economy,99(4),689-721。  new window
8.Akerlof, G.(1970)。The Marker for Lemons: Quality Uncertainty and the Market Mechanism", Quarterly。Journal of Economics,89,488-500。  new window
9.Guedes, Jose、Opler, T.(1996)。The determinants of the maturity of corporate debt issues。Journal of Finance,51(5),1809-1833。  new window
10.Datta, S.、Datta, M. I.、Patel, A.(2000)。Some evidence on the uniqueness of initial public debt offerings。Journal of Finance,55(2),715-743。  new window
11.Barclay, Michael J.、Smith, Clifford W. Jr.(1995)。The Maturity Structure of Corporate Debt。Journal of Finance,50(2),609-631。  new window
12.Bhattacharya, S.、Chiesa, G.(1995)。Proprietary Information, Financial Intermediation, and Research Incentives。Journal of Financial Intermediation,4(4),328-357。  new window
13.Blackwell, D. W.、Kidwell, D. S.(1988)。An investigation cost differences between public sales and private placements of debt。Journal of Financial Economics,22(2),253-278。  new window
14.Berlin, M.、Loeys, J.(1988)。Bond covenants and delegated monitoring。Journal of Finance,43(2),397-412。  new window
15.Chemmanur, Thomas J.、Fulghieri, Paolo(1994)。Reputation, Renegotiation, and the Choice between Bank Loans and Publicly Traded Debt。The Review of Financial Studies,7(3),475-506。  new window
16.Gertner, R.、Scharfstein, D.(1991)。A theory of workouts and the effects of reorganization law。Journal of Finance,46(4),1189-1222。  new window
17.Houston, Joel、James, Christopher(1996)。Bank Information Monopolies and the Mix of Private and Public Debt Claims。The Journal of Finance,51(5),1863-1889。  new window
18.Rajan, Raghuram G.(1992)。Insiders and Outsiders: The Choice between Informed and Arm's-Length Debt。The Journal of Finance,47(4),1367-1400。  new window
19.Diamond, Douglas W.(1984)。Financial intermediation and delegated monitoring。The Review of Economic Studies,51(3),393-414。  new window
20.Ramakrishnan, Ram T. S.、Thakor, A. V.(1984)。Information Reliability and a Theory of Financial Intermediation。The Review of Economic Studies,51(3),451-432。  new window
21.Leland, Hayne E.、Pyle, D. H.(1977)。Information asymmetries, financial structure and financial intermediation。Journal of Finance,32,371-387。  new window
22.Boyd, John H.、Prescott, Edward C.(1986)。Financial intermediary coalitions。Journal of Economic Theory,38(2),211-232。  new window
23.Myers, Stewart C.(1977)。Determinants of Corporate Borrowing。Journal of Financial Economics,5(2),147-175。  new window
24.Fama, Eugene F.(1985)。What's Different about Banks?。Journal of Monetary Economics,15(1),29-39。  new window
25.Myers, Stewart C.(1984)。The Capital Structure Puzzle。Journal of Finance,39(3),574-592。  new window
學位論文
1.吳崑地(2000)。成長機會與資訊不對稱對公司私下募集負債的影響(碩士論文)。朝陽科技大學,台中縣。  延伸查詢new window
2.Ellsworth, Richard R.(1980)。Corporate Strategy and Capital Structure Policy(博士論文)。Harvard University。  new window
3.黃于珊(1998)。我國企業舉債模式與公司特質關係之研究(碩士論文)。國立中央大學。  延伸查詢new window
4.陳瑞斌(1998)。公司特性與負債政策之關聯性研究(碩士論文)。國立彰化師範大學。  延伸查詢new window
5.陳姿廷(2001)。股權結構對公司公開舉債與銀行借款影響之研究(碩士論文)。國立政治大學,台北市。  延伸查詢new window
圖書
1.Greene, William H.(1997)。Econometric Analysis。Prentice Hall International, Inc.。  new window
 
 
 
 
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