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題名:Have the Determinants of Implicit Guarantee and Intervention Changed during the Financial Crisis of 2008?
書刊名:財務金融學刊
作者:黃玉麗 引用關係沈中華 引用關係
作者(外文):Huang, Yu-liShen, Chung-hua
出版日期:2018
卷期:26:2
頁次:頁1-37
主題關鍵詞:隱性保證隱性干預發行人評等個別評等全球金融危機Implicit guaranteeImplicit interventionIssuer ratingIndividual ratingGlobal financial crisis
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:0
  • 共同引用共同引用:0
  • 點閱點閱:5
期刊論文
1.Roy, Arthur D.(1952)。Safety First and the Holding of Assets。Econometrica,20(3),431-449。  new window
2.Ferri, Giovanni、Liu, Li-Gang、Majnoni, Giovanni(2001)。The Role of Rating Agency Assessments in Less Developed Countries: Impact of the Proposed Basel Guidelines。Journal of Banking and Finance,25(1),115-148。  new window
3.Toader, Oana(2015)。Quantifying and Explaining Implicit Public Guarantees for European Banks。International Review of Financial Analysis,41,136-147。  new window
4.Alp, Aysun(2013)。Structural shifts in credit rating standards。Journal of Finance,68(6),2435-2470。  new window
5.Didier, Tatiana、Hevia, Constantino、Schmukler, Sergio L.(2011)。How resilient and countercyclical were emerging economies to the global financial crisis?。Journal of International Money and Finance,31,2052-2077。  new window
6.Estrella, Arturo、Schich, Sebastian(2012)。Sovereign and banking sector debt: Interconnections through Guarantees。OECD Journal: Financial Market Trends,2011,21-45。  new window
7.Kaufmann, Daniel、Kraay, Aart、Mastruzzi, Massimo(2010)。Response to 'What Do the Worldwide Governance Indicators Measure?'。European Journal of Development Research,22,55-58。  new window
8.Schich, Sebastian(2013)。How to reduce implicit bank debt guarantees? A framework for discussing bank regulatory reform。Journal of Financial Regulation and Compliance,21,308-318。  new window
9.Schich, Sebastian、Lindh, Sofia(2012)。Implicit guarantees for bank debt: Where do we stand?。OECD Journal: Financial Market Trends,1,1-22。  new window
10.Shen, Chung-Hua、Lin, Chih-Yung(2012)。Why do government banks underperform: A political interference view。Journal of Financial Intermediation,21,181-202。  new window
11.Ueda, Kenichi、Di Mauro, Beatrice Weder(2013)。Quantifying structural subsidy values for systemically important financial institutions。Journal of Banking and Finance,37(10),3830-3842。  new window
12.Van Roy, Patrick、Vespro, Cristina(2012)。The role and impact of external support in bank credit ratings。Financial Stability Review,10,109-119。  new window
13.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
14.La Porta, Rafael、López-de-Silanes, Florencio、Shleifer, Andrei(1999)。Corporate ownership around the world。Journal of Finance,54(2),471-517。  new window
15.Iannotta, Giuliano、Nocera, Giacomo、Sironi, Andrea(2013)。The Impact of Government Ownership on Bank Risk。Journal of Financial Intermediation,22(2),152-176。  new window
16.La Porta, Rafael、López-de-Silanes, Florencio、Shleifer, Andrei、Vishny, Robert W.(1998)。Law and Finance。Journal of Political Economy,106(6),1113-1155。  new window
研究報告
1.Purda, Lynnette D.(2003)。Consistency of Global Credit Ratings: An Analysis of Firm versus Country-Specific Factors。  new window
2.De Nicoló, Gianni(2000)。Size, charter value, and risk in banking: An international perspective。  new window
3.Kashyap, Anil、Stein, Jeremy C.、Hanson, Samuel G.(2010)。An analysis of the impact of substantially heightened capital requirements on large institutions。  new window
4.Moody's Investors Service(20050512)。Tranching senior classes in U.S. overcollateralization: A distinct loss position may warrant a distinct rating。  new window
圖書
1.Basel Committee on Banking Supervision(2011)。Global systemically important banks: Assessment methodology and the additional loss absorbency requirement。Bank for International Settlements。  new window
2.Stern, Gray H.、Feldman, Ron J.(2004)。Too Big to Fail: The Hazards of Bank Bailouts。Washington D.C:Brookings Institute Press。  new window
3.Demirgüc-Kunt, Asli、Kane, Edward J.、Laeven, Luc(2008)。Deposit Insurance around the World: Issues of Design and Implementation。Cambridge, MA:MIT Press。  new window
單篇論文
1.Li, Zan,Qu, Shisheng,Zhang, Jing(2011)。Quantifying the value of implicit government guarantees for large financial institutions,Moody's Analytics Quantitative Research group。,https://www.moodysanalytics.com/-/media/whitepaper/2011/2011-14-01-Quantifying-the-Value-of-Implicit-Government-Guarantees-for-Large-Financial-Institutions-20110114.pdf。  new window
2.Moody's Investors Service(2008)。Sovereign defaults and interference: Perspectives on government risks。  new window
3.Moody's Investors Service(2009)。Rating Symbols and Definitions。  new window
4.Moody's Investors Service(2013)。Global Banks。  new window
 
 
 
 
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