:::

詳目顯示

回上一頁
題名:財產保險業清償能力因素探討:金融控股公司與非金融控股公司分析
書刊名:保險學報
作者:李珍穎高譽文
出版日期:2021
卷期:16
頁次:頁1-22
主題關鍵詞:財產保險業清償能力保險經營金融控股集團Property-liability insuranceSolvencyInsurance operationFinancial holding group
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:24
  • 點閱點閱:2
期刊論文
1.林明俊、陳青浩、陳冠志(20100300)。產險業財業務績效與市占率之分析。保險經營與制度,9(1),51-68。new window  延伸查詢new window
2.Colquitt, L. L.、Sommer, D. W.(2003)。An exploratory analysis of insurance insurer groups。Risk Management and Insurance Review,2,83-96。  new window
3.Regan, L.(1999)。Expense ratios across insurance distribution systems: An analysis by line of business。Risk Management and Insurance Review,2(2),44-59。  new window
4.梁榮輝、廖振盛(20070100)。臺灣地區產險業經營效率與規模經濟之研究。朝陽商管評論,6(1),77-98。new window  延伸查詢new window
5.高子荃、詹淑慧(20010300)。壽險業喪失清償能力信賴區間之研究。保險專刊,63,101-121。new window  延伸查詢new window
6.Chen, Yu-Cheng、Sun, Ling、Peng, Chih-Wei(2005)。Commercial banks' performance in Taiwan。International Journal of Business Performance Management,7(4),444-463。  new window
7.陳建勝、陳美菁、林明宏(20041100)。我國產險業資本結構與風險對獲利能力影響之研究。風險管理學報,6(3),273-290。new window  延伸查詢new window
8.Sharpe, I. G.、Stadnik, A.(2007)。Financial distress in Australian general insurers。Journal of Risk and Insurance,74(2),377-399。  new window
9.張文武、陳淑萍(20030300)。金融整合--金融控股公司。保險實務與制度,2(1),1-35。new window  延伸查詢new window
10.Shiu, Yung-Ming(2011)。Reinsurance and Capital Structure: Evidence from the United Kingdom Non-Life Insurance Industry。Journal of Risk and Insurance,78(2),475-494。  new window
11.Chen, Renbao、Wong, Kie Ann(2004)。The determinants of financial health of Asian insurance companies。Journal of Risk and Insurance,71(3),469-499。  new window
12.張士傑、黃雅文、胡育寧(20091200)。Merger and Acquisition, Market Structure and Performance in Property-Liability Insurance: Evidence from the Taiwan Market。風險管理學報,11(2),151-170。new window  new window
13.Harrington, S. E.(2009)。The Financial Crisis, Systemic Risk, and the Future of Insurance Regulation。Journal of Risk and Insurance,76(4),785-819。  new window
14.廖振盛(20100600)。費率自由化前後產險業經營效率變化分析--隨機邊界法之應用。臺灣銀行季刊,61(2),46-59。new window  延伸查詢new window
15.Fields, L. Paige、Gupta, Manu、Prakash, Puneet(2012)。Risk taking and performance of public insurers: An international comparison。Journal of Risk and Insurance,79(4),931-962。  new window
16.Mankaï, Selim、Belgacem, Aymen(2016)。Interactions between risk taking, capital, and reinsurance for property-liability insurance firms。Journal of risk and insurance,83(4),1007-1043。  new window
17.Shim, J.(2010)。Capital-Based Regulation, Portfolio Risk and Capital Determination: Empirical Evidence from the US Property-Liability Insurers。Journal of Banking & Finance,34(10),2450-2461。  new window
18.Hong, S.、Bao, S.(2015)。Guaranty Funds, Government Shareholding and Risk Taking: Evidence from China。Geneva Papers on Risk and Insurance: Issues and Practice,40(4),653-677。  new window
19.Hausman, J. A.(1978)。Specification Tests in Econometrics。Econometrica,46(6),1251-1271。  new window
20.Liebenberg, A. P.、Sommer, D. W.(2008)。Effects of corporate diversification: Evidence from the property-liability insurance industry。The Journal of Risk and Insurance,75(4),893-919。  new window
21.王財驛、卓翠月、黃明祥(20110600)。財產保險業經營效率之研究。財金論文叢刊,14,1-15。new window  延伸查詢new window
22.Shim, Jeungbo(2017)。An Investigation of Market Concentration and Financial Stability in Property-Liability Insurance Industry。Journal of Risk and Insurance,84(2),567-597。  new window
23.卓翠月、王財驛(20131000)。臺灣保險業多元性服務之效率分析。評價學報,6,105-131。new window  延伸查詢new window
24.詹芳書、許永明、陳柏欣(20150100)。再保險使用與資本結構:以臺灣產險業為例。管理評論,34(1),63-81。new window  延伸查詢new window
25.粟芳、俞自由(2001)。非壽險償付能力影響因素的實證分析。財經研究,2001(7),23-27。  延伸查詢new window
26.Alhassan, A. L.、Biekpe, N.(2018)。Competition and risk-taking behaviour in the non-life insurance market in South Africa。The Geneva Papers on Risk and Insurance: Issues and Practice,43(3),492-519。  new window
27.Altuntas, M.、Rauch, J.(2017)。Concentration and financial stability in the property-liability insurance sector: Global evidence。Journal of Risk Finance,18(3),284-302。  new window
28.Baluch, F.、Mutenga, S.、Parsons, C.(2011)。Insurance, Systemic Risk, and the Financial Crisis。The Geneva Papers on Risk and Insurance: Issues and Practice,36(1),126-163。  new window
29.BarNiv, R.、McDonald, J. R.(1992)。Identifying Financial Distress in the Insurance Industry: A Synthesis of Methodological and Empirical Issues。The Journal of Risk and Insurance,59(4),543-573。  new window
30.Caporale, Guglielmo Maria、Cerrato, M.、Zhang, X.(2017)。Analysing the determinants of insolvency risk for general insurance firms in the UK。Journal of Banking and Finance,84,107-122。  new window
31.Lee, C. Y.(2018)。The relationship between insurer solvency and reinsurance: evidence from the Taiwan property-liability insurance industry。International Journal of Financial Services Management,9(2),187-205。  new window
32.Moreno, I.、Parrado-Martínez, P.、Trujillo-Ponce, A.(2020)。Economic crisis and determinants of solvency in the insurance sector: New evidence from Spain。Accounting & Finance,60(3),2965-2994。  new window
33.Pavić Kramarić, T.、Miletić, M.、Kožul Blaževski, R.(2019)。Financial Stability of insurance Companies in Selected CEE Countries。Business Systems Research,10(2),163-178。  new window
34.Rauch, J.、Wende, S.(2015)。Solvency prediction for property-liability insurance companies: Evidence from the financial crisis。The Geneva papers on Risk and Insurance: Issues and Practice,40(1),47-65。  new window
35.Vucetich, A.、Perry, R.、Dean, R.、Langwasser, K.(2014)。The insurance sector and economic stability。Reserve Bank of New Zealand: Bulletin,77(3)。  new window
36.Rubio-Misas, M.、Fernández-Moreno, M.(2017)。Solvency surveillance and financial crisis: evidence from the Spanish insurance industry。Spanish Journal of Finance and Accounting,46(3),272-297。  new window
會議論文
1.Liao, C. S.(2008)。The X-efficiency of non-life insurance industry in Taiwan。2008 New Century Enterprise Idea and Create Value Conference。  new window
學位論文
1.管振林(2006)。產險業清償能力影響因素之灰關聯分析(碩士論文)。南華大學。  延伸查詢new window
2.彭千惠(2017)。台灣保險業風險承擔行為之分析--金融控股公司v.s.非金融控股公司(碩士論文)。朝陽科技大學。  延伸查詢new window
圖書
1.阮品嘉(2012)。金融控股公司及其集團之規範與實務。元照。  延伸查詢new window
2.彭金隆(2004)。金融控股公司--法制監理與經營策略。智勝文化。  延伸查詢new window
3.邱皓政(2019)。量化研究與統計分析:SPSS與R資料分析範例解析。五南。  延伸查詢new window
其他
1.IAIS(2011)。Insurance and Financial Stability,International Association of Insurance Supervisors。,https://www.iaisweb.org/uploads/2022/01/Insurance_and_financial_stability.pdf.pdf。  new window
 
 
 
 
第一頁 上一頁 下一頁 最後一頁 top
:::
無相關書籍
 
無相關著作
 
QR Code
QRCODE