| 期刊論文1. | Benson, K.、Oliver, B.(2004)。Management motivation for using financial derivatives in Australia。Australian Journal of Management,29,225-242。 ![](/gs32/thssjcncl/image/nclsfx.gif) ![new window](/gs32/images/newin.png) | 2. | Bodnar, G. M.、Gebhardt, G.(1999)。Derivatives Usage in Risk Management by US and German Non-Financial Firms: A Comparative Survey。Journal of International Financial Management and Accounting,10,153-187。 ![](/gs32/thssjcncl/image/nclsfx.gif) ![new window](/gs32/images/newin.png) | 3. | Nguyen, H.、Faff, R.(2002)。On the Determinants of Derivative Usage by Australian Companies。Australian Journal of Management,27(1),1-24。 ![](/gs32/thssjcncl/image/nclsfx.gif) ![new window](/gs32/images/newin.png) | 4. | Guay, W.、Kothari, S. P.(2003)。How much do firms hedge with derivatives?。Journal of Financial Economics,70(3),423-461。 ![](/gs32/thssjcncl/image/nclsfx.gif) ![new window](/gs32/images/newin.png) | 5. | Haushalter, G. David(2000)。Financing Policy, Basis Risk, and Corporate Hedging: Evidence from Oil and Gas Producers。The Journal of Finance,55(1),107-152。 ![](/gs32/thssjcncl/image/nclsfx.gif) ![new window](/gs32/images/newin.png) | 6. | Borokhovich, K. A.、Brunarski, K. R.、Crutchley, C. E.、Simkins, B. J.(2004)。Board composition and corporate use of interest rate derivatives。The Journal of Financial Research,27,199-216。 ![](/gs32/thssjcncl/image/nclsfx.gif) ![new window](/gs32/images/newin.png) | 7. | Byrd, J. W.、Hickman, K. A.(199210)。Do Outside Directors Monitor Managers? Evidence from Tender off Bids。Journal of Financial Economics,32(2),195-221。 ![](/gs32/thssjcncl/image/nclsfx.gif) ![new window](/gs32/images/newin.png) | 8. | Marston, Richard C.、Hayt, Gregory S.、Bodnar, Gordon(1998)。1998 Wharton survey of financial risk management by US non-Financial Firms。Financial Management,27(4),70-91。 ![](/gs32/thssjcncl/image/nclsfx.gif) ![new window](/gs32/images/newin.png) | 9. | Brown, Gregory W.(2001)。Managing Foreign Exchange Risk with Derivatives。Journal of Financial Economics,60(2/3),401-448。 ![](/gs32/thssjcncl/image/nclsfx.gif) ![new window](/gs32/images/newin.png) | 10. | Core, John E.、Guay, Wayne R.、Kothari, S. P.(2002)。The economic dilution of employee stock options: Diluted EPS for valuation and financial reporting。The Accounting Review,77(3),627-652。 ![](/gs32/thssjcncl/image/nclsfx.gif) ![new window](/gs32/images/newin.png) | 11. | Berkman, H.、Bradbury, M. E.(1996)。Empirical Evidence on the Corporate Use of Derivatives。Financial Management,25(2),5-13。 ![](/gs32/thssjcncl/image/nclsfx.gif) ![new window](/gs32/images/newin.png) | 12. | Bondnar, Gordon M.、Hayt, Gregory S.、Marston, Richard C.、Smithson, Charles W.(1995)。Wharton Survey of Derivatives Usage by U.S. Non-Financial Firms。Financial Management,24(2),104-114。 ![](/gs32/thssjcncl/image/nclsfx.gif) ![new window](/gs32/images/newin.png) | 13. | Géczy, Christopher C.、Minton, Bernadette A.、Schrand, Catherine M.(1997)。Why Firms Use Currency Derivatives?。Journal of Finance,52(4),1323-1354。 ![](/gs32/thssjcncl/image/nclsfx.gif) ![new window](/gs32/images/newin.png) | 14. | Tufano, P.(1996)。Who Manage Risk? An Empirical Examination of Risk Management Practices in the Gold Mining Industry。Journal of Finance,51(4),1097-1137。 ![](/gs32/thssjcncl/image/nclsfx.gif) ![new window](/gs32/images/newin.png) | 15. | Froot, Kenneth A.、Scharfstein, David S.、Stein, Jeremy C.(1993)。Risk Management: Coordinating Corporate Investment and Financing Policies。Journal of Finance,48(5),1629-1658。 ![](/gs32/thssjcncl/image/nclsfx.gif) ![new window](/gs32/images/newin.png) | 16. | Smith, Clifford W.、Stulz, René M.(1985)。The determinants of firms' hedging policies。Journal of Financial and Quantitative Analysis,20(4),391-405。 ![](/gs32/thssjcncl/image/nclsfx.gif) ![new window](/gs32/images/newin.png) | 17. | Fama, Eugene F.、Jensen, Michael C.(1983)。Separation of ownership and control。The Journal of Law & Economics,26(2),301-325。 ![](/gs32/thssjcncl/image/nclsfx.gif) ![new window](/gs32/images/newin.png) | 18. | Colquitt, L. L.、Hoyt, R. E.(1997)。Determinants of Corporate Hedging Behavior: Evidence from the Life Insurance Industry。Journal of Risk and Insurance,64(4),649-671。 ![](/gs32/thssjcncl/image/nclsfx.gif) ![new window](/gs32/images/newin.png) | 19. | Fama, Eugene F.(1985)。What's Different about Banks?。Journal of Monetary Economics,15(1),29-39。 ![](/gs32/thssjcncl/image/nclsfx.gif) ![new window](/gs32/images/newin.png) | 20. | Nance, Deana R.、Smith, Clifford W. Jr.、Smithson, Charles W.(1993)。On the determinants of corporate hedging。Journal of Finance,48(1),267-284。 ![](/gs32/thssjcncl/image/nclsfx.gif) ![new window](/gs32/images/newin.png) | 21. | Weisbach, Michael S.(1988)。Outside directors and CEO turnover。Journal of Financial Economics,20(1/2),431-460。 ![](/gs32/thssjcncl/image/nclsfx.gif) ![new window](/gs32/images/newin.png) | 22. | Bodnar, Gordon M.、Gentry, William M.(1993)。Exchange rate exposure and industry characteristics: Evidence from Canada, Japan and USA。Journal of International Money and Finance,12(1),29-45。 ![](/gs32/thssjcncl/image/nclsfx.gif) ![new window](/gs32/images/newin.png) | 其他1. | Bank Indonesia(2010)。Indonesian Financial Statistics。 ![](/gs32/thssjcncl/image/nclsfx.gif) ![new window](/gs32/images/newin.png) | 2. | Brailsford, T. J., Heaney, R. A.and Oliver, B. R.(2003)。Practices and Attitudes to Derivatives Use in Australian Commonwealth Organisations。 ![](/gs32/thssjcncl/image/nclsfx.gif) ![new window](/gs32/images/newin.png) | 3. | Carter, D. A. and Sinkey, J. F.(1998)。The Use of Interest Rate Derivatives by End-Users: The Case of Large Community Banks。 ![](/gs32/thssjcncl/image/nclsfx.gif) ![new window](/gs32/images/newin.png) | 4. | De Ceuster, M., Flanagan, L., Hodgson, A. and Tahir, M. I.(2003)。Determinants of Derivative Usage in the Life and General Insurance Industry: The Australian Evidence。 ![](/gs32/thssjcncl/image/nclsfx.gif) ![new window](/gs32/images/newin.png) | 5. | Elyasiani, E. and Goldberg, L. G.(2004)。Relationship Lending: A Survey of the Literature。 ![](/gs32/thssjcncl/image/nclsfx.gif) ![new window](/gs32/images/newin.png) | 6. | Gay, G. D. and Nam, J.(1998)。Underinvestment Problem and Corporate Derivatives Use。 ![](/gs32/thssjcncl/image/nclsfx.gif) ![new window](/gs32/images/newin.png) | 7. | Hakenes, H.(2004)。Banks as Delegated Risk Managers。 ![](/gs32/thssjcncl/image/nclsfx.gif) ![new window](/gs32/images/newin.png) | 8. | Hardwick, P. and Adams, M.(1999)。The Determinants of Financial Derivatives Use in the United Kingdom Life Insurance Industry。 ![](/gs32/thssjcncl/image/nclsfx.gif) ![new window](/gs32/images/newin.png) | 9. | Helland, E. and Sykuta, M.(2005)。ho's Monitoring the Monitor? Do Outside Directors Protect Shareholders' Interests?。 ![](/gs32/thssjcncl/image/nclsfx.gif) ![new window](/gs32/images/newin.png) | 10. | Lantara, I. W. N.(2010)。A Survey on the Use of Derivatives in Indonesia。 ![](/gs32/thssjcncl/image/nclsfx.gif) ![new window](/gs32/images/newin.png) | 11. | , C., Ow-Yong, K. and Reynolds, M.(2001)。Derivatives Usage in UK Non-Financial Listed Companies。 ![](/gs32/thssjcncl/image/nclsfx.gif) ![new window](/gs32/images/newin.png) | 12. | National Committee on Corporate Governance(2001)。Indonesia's Code for Good Corporate Governance。 ![](/gs32/thssjcncl/image/nclsfx.gif) ![new window](/gs32/images/newin.png) | 13. | Nguyen, H. and Faff, R.(2003)。Further Evidence on the Corporate Use of Derivatives in Australia: The Case of Foreign Currency and Interest Rate Instruments。 ![](/gs32/thssjcncl/image/nclsfx.gif) ![new window](/gs32/images/newin.png) | 14. | Prevost, A. K., Rose, L. C. and Miller, G.(2000)。Derivatives Usage and Financial Risk Management in Large and Small Economies: A Comparative Analysis。 ![](/gs32/thssjcncl/image/nclsfx.gif) ![new window](/gs32/images/newin.png) | 15. | Schiozer, R. F. and Saito, R.(2009)。The Determinants of Currency Risk Management in Latin American Nonfinancial Firms。 ![](/gs32/thssjcncl/image/nclsfx.gif) ![new window](/gs32/images/newin.png) | 16. | Sharma, S. D.(2003)。The Asian Financial Crisis: Crisis, Reform and Recovery。 ![](/gs32/thssjcncl/image/nclsfx.gif) ![new window](/gs32/images/newin.png) | 17. | Shu, P. and Chen, H.(2003)。The Determinants of Derivatives Use: Evidence from Non-Financial Firms in Taiwan。 ![](/gs32/thssjcncl/image/nclsfx.gif) ![new window](/gs32/images/newin.png) | 18. | Takao, A. and Lantara, I. W. N.(2009)。The Determinants of the Use of Derivatives in Japanese Insurance Companies。 ![](/gs32/thssjcncl/image/nclsfx.gif) ![new window](/gs32/images/newin.png) | 19. | Wooldridge, J. M.(2009)。Introductory Econometrics: A Modern Approach。 ![](/gs32/thssjcncl/image/nclsfx.gif) ![new window](/gs32/images/newin.png) | 20. | World Bank(2010)。World Bank Report on Indonesia Economic Quarterly: Continuity Amidst Volatility。 ![](/gs32/thssjcncl/image/nclsfx.gif) ![new window](/gs32/images/newin.png) | 21. | Yosano, T. and Lantara, I. W. N.(2010)。Bank-Firm Relationship and the Use of Derivatives in Japan。 ![](/gs32/thssjcncl/image/nclsfx.gif) ![new window](/gs32/images/newin.png) | 22. | Yu, E. S. H., Chin, I. C. H., Hang, H. F. Y. and Wai, G. L. C.(2001)。Managing Risk by Using Derivatives: The Case of Hong Kong Firms。 ![](/gs32/thssjcncl/image/nclsfx.gif) ![new window](/gs32/images/newin.png) | |