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題名:銀行集中度與臺灣銀行業風險之關聯性研究:以證券市場資料評估
書刊名:商管科技季刊
作者:劉景中
作者(外文):Liu, Jin-chung
出版日期:2009
卷期:10:3
頁次:頁527-552
主題關鍵詞:銀行集中度市場結構銀行風險Bank concentrationMarket structureBank risk
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(1) 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:1
  • 共同引用共同引用:8
  • 點閱點閱:33
期刊論文
1.Konishi, M.、Yasuda, Y.(2004)。Factors affecting bank risk taking: evidence from Japan。Journal of Banking and Finance,28,215-232。  new window
2.Yeyati, Eduardo Levy、Micco, Alejandro。Concentration and Foreign Penetration in Latin American Banking Sectors: Impact on Competition and Risk。Journal of Banking and Finance,31(6),1633-1647。  new window
3.Stiroh, K. J.、Rumble, A.(2006)。The Dark Side of Diversification:The Case of US Financial Holding Companies。Journal of Banking & Finance,30(8),2131-2161。  new window
4.Demsetz, R. S.、Stxahan, P. E.(1997)。Diversification, Size, and Risk at Bank Holding Companies。Journal of Money, Credit and Banking,29(3),300-313。  new window
5.Stiroh, Kevin J(2006)。A Portfolio View of Banking with Interest and Noninterest Activities。Journal of Money, Credit, and Banking,38(5),1352-1361。  new window
6.Patro, D. K.、Wald, J. K.、Wu, Y.(2002)。Explaining Exchange Rate Risk in World Stock Markets: A Panel Approach。Journal of Banking and Finance,26(10),1951-1972。  new window
7.馬泰成(20050700)。產業結構與利潤:臺灣銀行市場的實證研究。公平交易季刊,13(3),61-92。new window  延伸查詢new window
8.Berger, Allen N.(1995)。The Profit-structure Relationship in Banking: Tests of Market-power and Efficient-structure Hypotheses。Journal of Money, Credit and Banking,27(2),404-431。  new window
9.Chamberlain, Sandra、Howe, John S.、Popper, Helen(1997)。The exchange rate exposure of U.S. and Japanese banking institutions。Journal of Banking and Finance,21(6),871-892。  new window
10.Keeley, M. C.(1990)。Deposit insurance, risk, and market power in banking。The American Economic Review,80(5),1183-1200。  new window
11.Boyd, John H.、De Nicoló, Gianni(2005)。The Theory of Bank Risk Taking and Competition Revisited。The Journal of Finance,60(3),1329-1343。  new window
12.De Nieolo, G.、Bartholomew, P.、Zaman, J.、Zephirin, M.(2004)。Bank consolidation, conglomeration and internationalization: Trends and implication for financial risk。Financial Market, Institutions and Instruments,13(4),173-217。  new window
13.Goldberg, L. G.、Rai, A.(1996)。The structure-performance relationship for European banking。Journal of Banking and Finance,20(4),745-771。  new window
14.Herring, Richard J.、Vankudre, Prashant(1987)。Growth Opportunities and Risk-Taking by Financial Intermediaries。Journal of Finance,42(3),583-599。  new window
15.Boyd, John H.、Graham, Stanley L.、Hewitt, R. Shawn(1993)。Bank holding company mergers with nonbank financial firms: Effects on the risk of failure。Journal of Banking and Finance,17(1),43-63。  new window
16.Baele, Lieven、de Jonghe, Olivier、Vander Vennet, Rudi(2007)。Does the stock market value bank diversification?。Journal of Banking & Finance,31(7),1999-2023。  new window
17.Iannotta, Giuliano、Nocera, Giacomo、Sironi, Andrea(2007)。Ownership structure, risk and performance in the European banking industry。Journal of Banking and Finance,31(7),2127-2149。  new window
18.Fama, Eugene F.、French, Kenneth R.(1993)。Common risk factors in the returns on stocks and bonds。Journal of Financial Economics,33(1),3-56。  new window
19.Demirgüc-Kunt, Asli、Huizinga, Harry P.(1999)。Determinants of commercial bank interest margins and profitability: Some international evidence。The World Bank Economic Review,13(2),379-408。  new window
20.Fama, Eugene F.、French, Kenneth R.(1992)。The Cross-Section of Expected Stock Returns。The Journal of Finance,47(2),427-465。  new window
21.林文昌、賴怡洵與陳家彬(2005)。台灣地區銀行市場結構與價格僵固性。證券市場發展季刊,17(2),1-40。  延伸查詢new window
22.Beck, T., Demirguc-Kunt, A.,、Levine, R.(2006)。Bank concentration, competition, and crises: First results。Journal of Banking and Finance,30(5),1581-1603。  new window
23.Chang, E. J., Guerra, S. M., Lima, E. J. A.,、Tabak, B. M.(2008)。The stability-concentration relationship in the Brazilian banking system。Journal of International Financial Markets, Institutions and Money,18(4),388-397。  new window
24.Cetorelli, N.(2001)。Competition among banks: Good or bad。Economic Perspectives,25(2),38-48。  new window
25.Demirguc-Kunt, A., Laeven, L.,、Levine, R.(2004)。Regulation, market structure, institution, and the cost of financial intermediation。Journal of Money, Credit and Banking,36(3),593-622。  new window
26.Elyasiani, E.,、Mansur, I.(2005)。The association between market and exchange rate risks and accounting variables: A GARCH model of the Japanese banking Institutions。Review of Quantitative Finance and Accounting,25(2),183-206。  new window
27.Esho, N.、Sharpe, I. G.、Kofman, P.(2005)。Diversification, fee income, and credit union risk。Journal of Financial Services Research,27(3),259-281。  new window
28.Hahm, J. H.(2004)。Interest rate and exchange rate exposures of banking institutions in pre-crisis Korea。Applied Economics,36(13),1409-1419。  new window
29.Jayaratne, J.、Strahan, P. E.(1998)。Entry restrictions, industry evolution, and dynamic efficiency: Evidence from commercial banking。Journal of Law and Economics,41(1),239-274。  new window
30.Martin, A. D.(2000)。Exchange rate exposure of the key financial institutions in the foreign exchange market。International Review of Economics and Finance,9(3),267-286。  new window
31.Park, K. H.,、Weber, W. L.(2006)。Profitability of Korean banks: Test of market structure versus efficient structure。Journal of Economics and Business,58(3),222-239。  new window
32.Pilloff, S.,、Rhoades, S.(2002)。Structure and profitability in banking markets。Review of Industrial Organization,20(1),81-98。  new window
33.Striroh, K. J.(2006)。New evidence on the determinants of bank risk。Journal of Financial Services Research,30(3),237-263。  new window
34.Viale, A. M., Kolari, J. W.,、Fraser, D. R.(2009)。Common risk factors in bank stocks。Journal of Banking and Finance,33(3),464-472。  new window
研究報告
1.De Nicolo, G.(2000)。Size, charter value and risk in banking: An international perspective。  new window
圖書
1.Hill, R. Carter、Griffiths, William E.、Judge, George G.、Reiman, M. A.(2001)。Undergraduate Econometrics。New York, NY:John Wiley & Sons, Inc.。  new window
2.Baltagi, Badi H.(2005)。Econometric analysis of panel data。John Wiley & Sons, Inc.。  new window
 
 
 
 
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