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題名:公司治理下電子業之財務預警模型
書刊名:華人前瞻研究
作者:賴鈺城 引用關係李崑進 引用關係李善玉
作者(外文):Lai, Yu-chengLee, Kun-chinLi, Shan-yu
出版日期:2010
卷期:6:1
頁次:頁1-23
主題關鍵詞:公司治理財務預警電子業Logistic迴歸模型Corporate governanceFinancial distressElectronic industryLogistic regression model
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(4) 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:4
  • 共同引用共同引用:37
  • 點閱點閱:73
本研究以國內上市(櫃)公司之電子製造業為樣本,針對財務變數及公司治理變數,以Logistic迴歸建立我國上市(櫃)公司財務危機預警模型。研究結果發現,財務危機預警模型加入公司治理變數後,相較傳統研究僅有財務變數,模型能提升財務危機之預測能力。其次,研究顯示當企業有財務危機徵兆時,其經營能力及財務結構會明顯轉弱,其中應收帳款週轉率下降、董監事持股減少最為顯著。本文研究結果有助於財務危機公司發生之預測。
In this paper, the variable of financial ratios and corporate governance factors are used to develop the financial alert model. Logistic regression is employed here to construct financial alert model for the listed companies and OTC in Taiwan stock market. The empirical main results are follows. 1. The forecasting ability of financial alert model can be strengthened by adding corporate governance factors into this model. 2. When the businesses have a sign of financial crisis, accounts receivable turnover rate and the percentages of shares of board of directors are decreasing. Therefore, to observe the change of these two variables can forecast the financial crisis.
期刊論文
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12.張大成(20031200)。企業危機預測模型在臺灣的應用與比較。臺灣銀行季刊,54(4),147-163。new window  延伸查詢new window
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14.周淑卿、吳欽杉、陳安琳(20040900)。電子資訊產業與非電子資訊產業之研究發展支出、股權結構與公司績效之關聯性研究。臺北科技大學學報,37(2),267-287。new window  延伸查詢new window
15.黃嘉興、沈智偉(20030900)。臺灣上市公司危機預警--羅吉斯模型與類神經方法之比較。臺灣銀行季刊,54(3),113-159。new window  延伸查詢new window
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18.湯玲郎、施並洲(20010300)。灰關聯分析、類神經網路、案例推理法於財務危機預警模式之應用研究。中華管理評論,4(2),25-37。  延伸查詢new window
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31.López-de-Silanes, Florencio、La Porta, Rafael、Vishny, Robert W.、Shleifer, Andrei(2000)。Investor Protection and Corporate Governance。Journal of Financial Economics,58(1/2),3-27。  new window
32.La Porta, Rafael、López-de-Silanes, Florencio、Shleifer, Andrei、Vishny, Robert W.(2002)。Investor protection and corporate valuation。The Journal of Finance,57(3),1147-1170。  new window
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會議論文
1.趙金芳、徐忠誠(2008)。公司治理機制對公司價值之影響--以經營效率為中介變數。2008台灣財務金融學會暨學術研討會。  延伸查詢new window
研究報告
1.李存修、葉銀華、王文宇、田弘茂、林建甫(2000)。我國證券市場改革之研究--上市(櫃)公司發生財務危機之案例分析與因應措施之研究(上)。  延伸查詢new window
2.陳怡成、凌啟東、呂佳蕙(2001)。上市公司重大訊息公開揭露管理之探討。  延伸查詢new window
圖書
1.洪福彬(2004)。最適財務預警模式建立之研究--以機械產業為例。財團法人中衛發展中心。  延伸查詢new window
2.Hoppock, Robert(1935)。Job satisfaction。Harper。  new window
3.Prowse, S.(1998)。Corporate Governance: Emerging Issues and Lessons from East Asia。Responding to the Global Financial Crisis - World Bank mimeo。  new window
 
 
 
 
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