| 期刊論文1. | Roy, Arthur D.(1952)。Safety First and the Holding of Assets。Econometrica,20(3),431-449。 | 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。 | 3. | Toader, Oana(2015)。Quantifying and Explaining Implicit Public Guarantees for European Banks。International Review of Financial Analysis,41,136-147。 | 4. | Alp, Aysun(2013)。Structural shifts in credit rating standards。Journal of Finance,68(6),2435-2470。 | 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。 | 6. | Estrella, Arturo、Schich, Sebastian(2012)。Sovereign and banking sector debt: Interconnections through Guarantees。OECD Journal: Financial Market Trends,2011,21-45。 | 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。 | 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。 | 9. | Schich, Sebastian、Lindh, Sofia(2012)。Implicit guarantees for bank debt: Where do we stand?。OECD Journal: Financial Market Trends,1,1-22。 | 10. | Shen, Chung-Hua、Lin, Chih-Yung(2012)。Why do government banks underperform: A political interference view。Journal of Financial Intermediation,21,181-202。 | 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。 | 12. | Van Roy, Patrick、Vespro, Cristina(2012)。The role and impact of external support in bank credit ratings。Financial Stability Review,10,109-119。 | 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。 | 14. | La Porta, Rafael、López-de-Silanes, Florencio、Shleifer, Andrei(1999)。Corporate ownership around the world。Journal of Finance,54(2),471-517。 | 15. | Iannotta, Giuliano、Nocera, Giacomo、Sironi, Andrea(2013)。The Impact of Government Ownership on Bank Risk。Journal of Financial Intermediation,22(2),152-176。 | 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。 | 研究報告1. | Purda, Lynnette D.(2003)。Consistency of Global Credit Ratings: An Analysis of Firm versus Country-Specific Factors。 | 2. | De Nicoló, Gianni(2000)。Size, charter value, and risk in banking: An international perspective。 | 3. | Kashyap, Anil、Stein, Jeremy C.、Hanson, Samuel G.(2010)。An analysis of the impact of substantially heightened capital requirements on large institutions。 | 4. | Moody's Investors Service(20050512)。Tranching senior classes in U.S. overcollateralization: A distinct loss position may warrant a distinct rating。 | 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。 | 2. | Stern, Gray H.、Feldman, Ron J.(2004)。Too Big to Fail: The Hazards of Bank Bailouts。Washington D.C:Brookings Institute Press。 | 3. | Demirgüc-Kunt, Asli、Kane, Edward J.、Laeven, Luc(2008)。Deposit Insurance around the World: Issues of Design and Implementation。Cambridge, MA:MIT Press。 | 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。 | 2. | Moody's Investors Service(2008)。Sovereign defaults and interference: Perspectives on government risks。 | 3. | Moody's Investors Service(2009)。Rating Symbols and Definitions。 | 4. | Moody's Investors Service(2013)。Global Banks。 | |