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題名:Basel Ⅲ對金融穩定及貨幣政策之影響
書刊名:中央銀行季刊
作者:郭照榮 引用關係李宜熹 引用關係陳勤明 引用關係
出版日期:2013
卷期:35:2
頁次:頁11-59
主題關鍵詞:金融監理金融穩定貨幣政策Basel Ⅲ
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:36
  • 點閱點閱:92
期刊論文
1.鍾經樊(2009)。景氣衰退下如何看待信用評分。金融聯合徵信雙月刊,5,15-19。  延伸查詢new window
2.Blinder, A. S.(2010)。How central should the central bank be?。Journal of Economic Perspectives,48,123-133。  new window
3.Borio, C.、M. Drehmann(2009)。Assessing the risk of banking crises – revisited。BIS Quarterly Review,29-46。  new window
4.Borio, Claudio、Lowe, Philip(2002)。Assessing the risk of banking crises。BIS Quarterly Review,43-54。  new window
5.Chiuri, M. C.、Ferri, G.、G. Majnoni(2002)。The macroeconomic impact of bank capital requirements in emerging economies: Past evidence to assess the future。Journal of Banking and Finance,26,81-904。  new window
6.European Commission(2011)。Economic impact of changes in capital requirements in the Euro-area banking sector。Quarterly Report on the Euro Area,10(1),25-31。  new window
7.Gordy, M.G.、B. Howells(2006)。Pro-cyclicality in Basel II: Can we treat the Disease without killing the Patient。Journal of Financial Intermediation,15(3),395-417。  new window
8.Klein, L.(1999)。Economic stabilization policy: pitfalls of parsimonious modelling。Journal of Quantitative Economics,15(2),1-8。  new window
9.Kuo, Chau(1999)。Bank reserve’s setting for minimizing the price fluctuations: Taiwan’s case studies。Review of Pacific Basin Financial Markets and Policies,2(3),317-340。  new window
10.林建甫(20100300)。總體經濟計量模型的建立與應用。經濟論文叢刊,38(1),1-64。new window  延伸查詢new window
11.徐千婷、侯德潛(20040600)。臺灣小型總體經濟金融模型之建立與貨幣政策效果模擬。中央銀行季刊,26(2),9-30。new window  延伸查詢new window
12.沈中華、賴柏志、張家華(20050600)。總體經濟因素在Basel Ⅱ資本適足率公式的內涵及意義。金融風險管理季刊,1(2),97-108。  延伸查詢new window
13.Kuttner, K. N.、Mosser, P. C.(200205)。The Monetary Transmission Mechanism: Some Answers and Further Questions。Federal Reserve Bank of New York, Economic Policy Review,8(1),15-26。  new window
14.吳懿娟(20041200)。我國貨幣政策傳遞機制之實證分析。中央銀行季刊,26(4),33-68。new window  延伸查詢new window
15.林建甫(20060300)。臺灣總體經濟金融模型之建立。中央銀行季刊,28(1),5-41。new window  延伸查詢new window
16.Kaminsky, Graciela、Lizondo, Saul、Reinhart, Carmen M.(1998)。Leading Indicators of Currency Crises。IMF Staff Papers,45(1),1-48。  new window
17.Hodrick, Robert J.、Prescott, Edward C.(1997)。Postwar U.S. Business Cycles: An Empirical Investigation。Journal of Money, Credit and Banking,29(1),1-16。  new window
18.Hamilton, James D.(1989)。A New Approach to the Economic Analysis of Nonstationary Time Series and the Business Cycle。Econometrica: Journal of the Econometric Society,57(2),357-384。  new window
19.黃富櫻(20101200)。簡介「金融穩定」與「總體審慎」。國際金融參考資料,60,116-122。new window  延伸查詢new window
20.Kaminsky, Graciela L.、Reinhart, Carmen M.(1999)。The Twin Crises: The Causes of Banking and Balance-of-Payments Problems。American Economic Review,89(3),473-500。  new window
會議論文
1.Bernanke, Ben S.(201110)。The effects of the great recession on central bank doctrine and practice。The Federal Reserve Bank of Boston 56th Economic Conference "Long Term Effects of the Great Recession"。Boston, Massachusetts。  new window
研究報告
1.Shinasi, Garry J.(2004)。Defining Financial Stability。  new window
2.田慧琦(2010)。參加瑞士中央銀行基金會研究中心舉辦之「通膨預測與貨幣政策」訓練課程出國報告書。中央銀行。  延伸查詢new window
3.吳懿娟(2007)。參加瑞士中央銀行基金會研究中心舉辦之「經濟學進階議題」訓練課程出國報告書。中央銀行。  延伸查詢new window
4.汪建南(2008)。參加瑞士中央銀行基金會舉辦之「貨幣經濟學進階議題(II)」訓練課程出國報告書。中央銀行。  延伸查詢new window
5.林建甫(2006)。台灣總體經濟金融模型之建立。  延伸查詢new window
6.徐千婷(2007)。參加瑞士中央銀行基金會舉辦之Central Bankers Courses: Advanced Topics in Monetary Economics (II) 出國報告書。中央銀行。  延伸查詢new window
7.高志祥(2002)。總供需估測模型之精進--理性預期之運用出國報告書。行政院主計處。  延伸查詢new window
8.張永隆(2009)。最適貨幣政策之制定--考量存貨投資的小型開放經濟新興凱因斯DSGE模型 (計畫編號:98cbc-經1)。  延伸查詢new window
9.郭照榮(2013)。BaselIII對金融穩定及貨幣政策之影響 (計畫編號:101cbc-金-1)。中央銀行。  延伸查詢new window
10.管中閔、印永翔、姚睿、黃朝熙、徐之強、陳宜廷(2010)。台灣動態隨機一般均衡模型(DSGE)建立與政策評估。  延伸查詢new window
11.繆維正(2011)。參加瑞士央行基金會舉辦之「貨幣經濟學專題II」研習課程出國報告書。中央銀行。  延伸查詢new window
12.Angelini, P.(2011)。BASEL III: Long-term impact on economic performance and fluctuations。  new window
13.Cosimano, T. F.、D. S. Hakura(2011)。Bank behavior in response to Basel III: A cross-country analysis。  new window
14.Drehmann, M.、C. Borio、L. Gambacorta、G. Jimenez、C. Trucharte(2010)。Countercyclical capital buffers: Exploring options。  new window
15.Hervé, K., P. Richardson(2010)。The OECD's New Global Model。  new window
16.Institute of International Finance(2010)。Interim report on the cumulative impact on the global economy of proposed changes in the banking regulatory framework。Institute of International Finance。  new window
17.Institute of International Finance(2011)。Final report on the cumulative impact on the global economy of changes in the financial regulatory framework。Institute of International Finance。  new window
18.Roger, S.、J. Vlcek(2011)。Macrofinancial modeling at central banks: Recent developments and future directions (計畫編號:WP/12/21)。  new window
19.Slovik, P.、B. Cournède(2011)。Macroeconomic impact of Basel III。  new window
20.Balakrishnan, R.、Danninger, S.、Elekdag, S.、Tytell, I.(2009)。The Transmission of Financial Stress from Advanced to Emerging Economies。IMF。  new window
圖書
1.潘雅慧(2006)。國際間促進金融穩定之評估架構及實務運作。金融監理與風險管理選輯。中央銀行。  延伸查詢new window
2.Fair, R.(1994)。Testing macroeconometric models。Cambridge:Harvard University Press。  new window
3.Repullo, R.、J. Saurina、C. Trucharte(2009)。Mitigating the procyclicality of Basel II。Banco de Espana。  new window
4.Fair, R.(1984)。Specification, estimation, and analysis of macroeconometric models。Cambridge:Harvard University Press。  new window
5.中央銀行(2003)。中華民國中央銀行之制度與功能。中央銀行。  延伸查詢new window
6.Hamilton, James D.(1994)。Time Series Analysis。Princeton University Press。  new window
單篇論文
1.Basel Committee on Banking Supervision(2010)。Basel III: A global regulatory framework for more resilient banks and banking systems,Bank for International Settlements。  new window
其他
1.Basel Committee on Banking Supervision(201008)。An assessment of the long-term economic impact of stronger capital and liquidity requirements。  new window
2.Basel Committee on Banking Supervision(2010)。Strengthening the resilience of the banking sector。  new window
3.Basel Committee on Banking Supervision(2010)。Assessing the macroeconomic impact of the transition to stronger capital and liquidity requirements (Interim report)。  new window
4.Basel Committee on Banking Supervision(2010)。Assessing the macroeconomic impact of the transition to stronger capital and liquidity requirements (Final report)。  new window
5.Basel Committee on Banking Supervision(2010)。Results of the comprehensive quantitative impact study。  new window
6.Basel Committee on Banking Supervision(2010)。Guidance for national authorities operating the countercyclical capital buffer。  new window
7.Basel Committee on Banking Supervision(2010)。Basel III: International framework for liquidity risk measurement, standards and monitoring。  new window
8.Basel Committee on Banking Supervision(2012)。Results of the Basel III monitoring exercise as of 31 December 2011。  new window
9.Essama-Nssah(2007)。Evaluating the poverty impacts of economy-wide policies: Teaching materials。  new window
10.Goldstein Morris,Graciela L. Kaminsky,Carmen M. Reinhart(200006)。Assessing financial vulnerability: An early warning system for emerging markets。  new window
 
 
 
 
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