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題名:銀行併購之風險效益研究--臺灣實證分析
書刊名:臺灣銀行季刊
作者:王錦瑩李宜珈
出版日期:2016
卷期:67:3
頁次:頁25-41
主題關鍵詞:銀行併購風險金融改革
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(0) 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:33
  • 點閱點閱:4
期刊論文
1.Beck, Thorsten、Demirguc-Kunt. A.、Levine. R.(2005)。Bank Concentration, competition, and crises: First Results。Journal of Banking & Finance,30(5),1581-1603。  new window
2.蔡永順(2012)。金融合併與風險傳染:臺灣實證研究。商略學報,4(2),93-113。new window  延伸查詢new window
3.Campa, J. M.、Hernando, I.(2006)。M&As Performance in the European Financial Industry。Journal of Banking and Finance,30(12),3367-3392。  new window
4.劉景中(2008)。銀行集中度與臺灣銀行業的獲利性及風險。經濟論文叢刊,36(3),327-355。new window  延伸查詢new window
5.Corvoisier, S.、Gropp, R.(2002)。Bank Concentration and Retail Interest Rates。Journal of Banking and Finance,26,2155-2189。  new window
6.陳永琦、傅祖壇(2003)。本國銀行合併之效益分析。經濟研究,39(2),173-196。new window  延伸查詢new window
7.陳若暉、蔡靜宜(2002)。商業銀行合併信用合作社之績效改善分析。產業管理學報,3(1),21-38。new window  延伸查詢new window
8.Rhoades, Stephen A.(1993)。Efficiency Effects of Horizontal (in-market) Bank Mergers。Journal of Banking and Finance,17(2/3),411-422。  new window
9.Benston, G. J.、Hunter, W. C.、William, L. D.(1995)。Motivations for Bank Mergers and Acquisitions: Enhancing the Deposit Insurance Put Option versus Earnings Diversification。Journal of Money, Credit, and Banking,27(3),777-788。  new window
10.Boyd, J. H.、Graham, S. L.、Hewitt, R. S.(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
11.林卓民、鄭婉秀、劉和昌(2004)。臺灣地區銀行合併之因素與績效。真理財經學報,10,57-84。new window  延伸查詢new window
12.劉景中(2009)。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。商管科技季刊,10(3),527-552。new window  延伸查詢new window
13.Adams-Kane, J.、Jia, Y.、Lim, J. J.(2015)。Global Transmission Channels for International Bank Lending in the 2007-09 Financial Crisis。Journal of International Money and Finance,56,97-113。  new window
14.Behr, A.、Heid, F.(2011)。The Success of Bank Mergers Revisited: An Assessment Based on a Matching Strategy。Journal of Empirical Finance,18,117-135。  new window
15.Boyd, J. H.、De Nicoló, G.(2005)。The Theory of Bank Risk-taking and Competition Revisited。The Journal of Finance,60(3),1329-1343。  new window
16.Jimenez, G.、Lopez, J. A.、Saurina, J.(2013)。How Does Competition Affect Bank Risk-taking?。Journal of Financial Stability,9(2),185-195。  new window
17.Montgomery, H.、Harimaya, K.、Takahashi, Y.(2014)。Too Big to Succeed? Banking Sector Consolidation and Efficiency。Journal of International Financial Markets, Institutions and Money,32,86-106。  new window
18.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 & Money,18,388-397。  new window
19.De Nicols, G.、Batholomew, L.、Zaman, L.、Zephirin, M.(2004)。Bank Consolidation, Conglomeration and Internationalization: Trends and Implications for Financial Risk。Financial Markets Institutions and Instruments,13,173-217。  new window
20.Shih, M. S. H.(2003)。An Investigation into the Use of Mergers as a Solution for the Asia Banking Sector Crisis。The Quarterly Review of Economics and Finance,43,31-49。  new window
21.Shaffer, S.(1993)。Can Megamergers Improve Bank Efficiency?。Journal of Banking & Finance,17,423-436。  new window
22.Uhde, A.、Heimeshoff, U.(2009)。Consolidation in Banking and Financial Stability in Europe: Empirical Evidence。Journal of Banking & Finance,33,1299-1311。  new window
23.Yeyati, E. L.、Micco, A.(2007)。Concentration and Foreign Penetration in Latin American Banking Sectors: Impact on Competition and Risk。Journal of Banking & Finance,31,1633-1647。  new window
24.Bikker, Jacob A.、Haaf, Katharina(2002)。Competition, Concentration and Their Relationship: An Empirical Analysis of the Banking Industry。Journal of Banking and Finance,26(11),2191-2214。  new window
25.劉景中(20090300)。銀行集中度、銀行市場競爭度與銀行風險--臺灣實證研究。經濟論文,37(1),101-135。new window  延伸查詢new window
26.White, Halbert L. Jr.(1980)。A Heteroskedasticity-Consistent Covariance Matrix Estimator and a Direct Test for Heteroskedasticity。Econometrica: Journal of the Econometric Society,48(4),817-838。  new window
圖書
1.Neter, J.、Wasserman, W.、Kutner, M. H.(2004)。Applied Linear Statistical Models。Singapore:McGraw-Hill。  new window
 
 
 
 
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