| 期刊論文1. | 林鴻裕(20030600)。重回貨幣危機問題--新開放總體經濟模型的應用。經濟論文,31(2),207-228。 延伸查詢 | 2. | Edison, Hali J.(2003)。Do Indicators of Financial Crises Work? An Evaluation of an Early Warning System。International Journal of Finance and Economics,8(1),11-53。 | 3. | 張大成、林郁翎(20030300)。銀行危機預警綜合指標之建立。存款保險資訊季刊,16(3),111-146。 延伸查詢 | 4. | Bussiere, M.、Fratzscher, M.(2006)。Towards a new early warning system of financial crises。Journal of International Money and Finance,25(6),953-973。 | 5. | Frankel, Jeffrey A.、Rose, Andrew K.(1996)。Currency Crashes in Emerging Markets: An Empirical Treatment。Journal of International Economics,41(3/4),351-366。 | 6. | 周國偉、吳孟道(20100100)。金融海嘯與臺灣金融市場壓力及因應政策。經社法制論叢,45,39-67。 延伸查詢 | 7. | 沈中華(19990600)。銀行危機形成原因探討。存款保險資訊季刊,12(4),88-102。 延伸查詢 | 8. | 張大成、沈中華、陳伯羽(20011200)。利用Logit模型預測國家通貨危機。產業金融季刊,113,2-19。 延伸查詢 | 9. | Kaminsky, Graciela、Lizondo, Saul、Reinhart, Carmen M.(1998)。Leading Indicators of Currency Crises。IMF Staff Papers,45(1),1-48。 | 10. | Demirgüç-Kunt, Asli、Detragiache, Enrica(1998)。The Determinants of Banking Crises in Developing and Developed Countries。International Monetary Fund Staff Papers,45(1),81-109。 | 11. | Laeven, Luc、Valencia, Fabian(2013)。Systemic Banking Crises Database。IMF Economic Review,61(2),225-270。 | 12. | 吳懿娟(20030900)。我國金融危機預警系統之研究。中央銀行季刊,25(3),5-42。 延伸查詢 | 13. | Dell'Ariccia, G.、Detragiache, E.、Rajan, R.(2008)。The real effect of banking crises。Journal of Financial Intermediation,17(1),89-112。 | 14. | 張大成、沈中華、陳伯羽(20001100)。國家通貨危機與總體經濟指標--外匯市場壓力指數及縱橫資料分析。貨幣觀測與信用評等,26,107-125。 延伸查詢 | 15. | 張大成、林郁翎、李佳穎(20061100)。通貨危機預警模型之建立。貨幣觀測與信用評等,62,73-94。 延伸查詢 | 16. | Büyükkarabacak, B.、Valev, N. T.(2010)。The Role of Household and Business Credit in Banking Crises。Journal of Banking & Finance,34(6),1247-1256。 | 17. | Ötker, I.、Pazarbaşioǧlu, C.(1997)。Speculative Attacks and Macroeconomic Fundamentals: Evidence from Some European Currencies。European Economic Review,41(3),847-860。 | 18. | Edwards, S.(2004)。Thirty Years of Current Account Imbalances, Current Account Reversals, and Sudden Stops。IMF Staff Papers,51(1),1-49。 | 19. | Davis, E. P.、Karim, D.、Liadze, I.(2011)。Should Multivariate Early Warning Systems for Banking Crises Pool Across Regions?。Review of World Economics,147(4),693-716。 | 20. | Demirgüç-Kunt, A.、Detragiache, E.(2005)。Cross-Country Empirical Studies of Systemic Bank Distress: A Survey。National Institute Economic Review,192(1),68-83。 | 21. | Chaudron, R.、De Haan, J.(2014)。Dating Banking Crises Using Incidence and Size of Bank Failures: Four Crises Reconsidered。Journal of Financial Stability,15,63-75。 | 22. | Ciarlone, A.、Trebeschi, G.(2005)。Designing an Early Warning System for Debt Crises。Emerging Markets Review,6(4),376-395。 | 23. | Comelli, F.(2014)。Comparing Parametric and Non-Parametric Early Warning Systems for Currency Crises in Emerging Market Economies。Review of International Economics,22(4),700-721。 | 24. | 沈中華、陳錦村、吳孟紋(20050200)。更早期預警模型:臺灣銀行道德指標的建立及影響。管理學報,22(1),1-28。 延伸查詢 | 25. | 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。 | 26. | 金志婷(20091200)。政府是否應採取透明化政策阻止貨幣危機的發生。經濟論文,37(4),587-623。 延伸查詢 | 研究報告1. | Berg, Andrew、Pattillo, Catherine(1998)。Are Currency Crises Predictable? A Test。 | 2. | Frankel, Jeffrey A.、Saravelos, G.(2010)。Are leading indicators of financial crises useful for assessing country vulnerability? Evidence from the 2008-09 global crisis。Cambridge:National Bureau of Economic Research。 | 3. | Claessens, S.、Kose, M. Ayhan(2013)。Financial Crises Explanations, Types, and Implications。International Monetary Fund。 | 4. | Barajas, A.、Dell'Ariccia, G.、Levchenko, A.(2007)。Credit Booms: The Good, the Bad, and the Ugly。International Monetary Fund。 | 5. | Becker, T.、Mauro, P.(2006)。Output Drops and the Shocks That Matter。 | 6. | Bordo, M.、Schwartz, A. J.(2000)。Measuring Real Economic Effects of Bailouts: Historical Perspectives on How Countries in Financial Distress Have Fared with and without Bailouts。 | 7. | Caprio, G.、Klingebiel, D.(1996)。Bank Insolvencies: Cross-Country Experience。 | 8. | Caprio, G.、Klingebiel, D.(2003)。Episodes of Systemic and Borderline Financial Crises。The World Bank。 | 9. | Deb, S.(2005)。Output Growth, Capital Flow Reversals and Sudden Stop Crises。Rutgers University。 | 圖書1. | 行政院中央銀行(2009)。全球金融危機專輯。臺北:中央銀行。 延伸查詢 | 2. | 中央銀行(2010)。全球金融危機專輯。中央銀行。 延伸查詢 | 3. | Reinhart, Carmen M.、Rogoff, Kenneth S.(2009)。This Time is Different: Eight Centuries of Financial Folly。Princeton, NJ:Princeton University Press。 | 4. | 沈中華、王儷容、呂青樺、吳孟紋(2014)。金融機構在中國的機會與挑戰--對台灣銀行業的策略建議與提醒。智勝文化事業有限公司。 延伸查詢 | 5. | Kindleberger, Charles P.(1978)。Manias, Panics, and Crashes: A History of Financial Crises。New York:Basic Books。 | 6. | 于宗先、王金利(2005)。臺灣金融體制之演變。臺北:聯經出版事業公司。 延伸查詢 | 7. | 中央存款保險股份有限公司(2005)。20週年回顧與展望專刊。台北:中央存款保險股份有限公司。 延伸查詢 | 8. | 中央存款保險股份有限公司(2014)。30週年紀念專刊。台北:中央存款保險股份有限公司。 延伸查詢 | 9. | 范以端、黃鴻棋、莊麗芳、林筱雯、朱麗如、顏秀青、周孟萱、林佳瑾(2012)。2008年全球金融危機紀要與改革趨勢。台北:中央存款保險股份有限公司。 延伸查詢 | 10. | Kindleberger, C. P.(1984)。A Financial History of Western Europe。Allen and Unwin。 | 其他1. | Edison, H. J.(2000)。Do indicators of financial crises work? An evaluation of an early warning system,Board of Governors of the Federal Reserve System。 | 2. | Kamin, S. B.,Schindler, J. W.,Samuel, S. L.(2001)。The contribution of domestic and external factors to emerging market devaluation crises: an early warning systems approach。 | 3. | Eichengreen, B.,Rose, A. K.,Wyplosz, C.(1996)。Contagious Currency Crises。 | 圖書論文1. | Cowan, K.、De Gregorio, J.、Micco, A.、Neilson, C.(2008)。Financial Diversification, Sudden Stops, and Sudden Starts。Current Account and External Finance。Santiago:Central Bank of Chile。 | |