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題名:銀行業務多角化與銀行績效的關聯性:社會責任績效的調節效果
書刊名:臺灣管理學刊
作者:黃詩婷張元
作者(外文):Huang, Shih-tingChang, Yuan
出版日期:2021
卷期:21:1
頁次:頁23-50
主題關鍵詞:業務多角化社會責任績效調節效果DiversificationSocial responsibility performanceModerating effect
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(2) 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:2
  • 共同引用共同引用:67
  • 點閱點閱:9
期刊論文
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5.Elsas, Ralf、Hackethal, Andreas、Holzhaeuser, Markus(2010)。The anatomy of bank diversification。Journal of Banking and Finance,34(6),1274-1287。  new window
6.Choi, Bo Bae、Lee, Doowon、Park, Youngkyu(2013)。Corporate social responsibility, corporate governance and earnings quality: Evidence from Korea。Corporate Governance: An International Review,21(5),447-467。  new window
7.Sawada, M.(2013)。How does the stock market value bank diversification? Empirical evidence from Japanese banks。Pacific-Basin Finance Journal,25,40-61。  new window
8.DeYoung, Robert、Rice, Tara(2004)。Noninterest Income and Financial Performance at U.S. Commercial Banks。The Financial Review,39(1),101-127。  new window
9.Stiroh, Kevin J.(2004)。Do Community Banks Benefit from Diversification?。Journal of Financial Services Research,25(2/3),135-160。  new window
10.Chiorazzo, Vincenzo、Milani, Carlo、Salvini, Francesca(2008)。Income diversification and bank performance: Evidence from Italian banks。Journal of Financial Services Research,33(3),181-203。  new window
11.Hong, Y.、Andersen, M. L.(2011)。The relationship between corporate social responsibility and earnings management: An exploratory study。Journal of Business Ethics,104(4),461-471。  new window
12.Stiroh, Kevin J.(2004)。Diversification in banking: Is noninterest income the answer?。Journal of Money, Credit, and Banking,36(5),853-882。  new window
13.Thomas, Shawn(2002)。Firm Diversification and Asymmetric Information: Evidence from Analysts' Forecasts and Earnings Announcements。Journal of Financial Economics,64(3),373-396。  new window
14.Acharya, Viral V.、Hasan, Iftekhar、Saunders, Anthony(2006)。Should Banks Be Diversified? Evidence from Individual Bank Loan Portfolios。Journal of Business,79(3),1355-1412。  new window
15.Godfrey, Paul C.、Merrill, Craig B.、Hansen, Jared M.(2009)。The Relationship between Corporate Social Responsibility and Shareholder Value: An Empirical Test of the Risk Management Hypothesis。Strategic Management Journal,30(4),425-445。  new window
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18.Hitt, M. A.、Bierman, L.、Uhlenbruck, K.、Shimizu, K.(2006)。The importance of resources in the internationalization of professional service firms: the good, the bad, and the ugly。Academy of Management Journal,49(6),1137-1157。  new window
19.Lepetit, Laetitia、Nys, Emmanuelle、Rous, Philippe、Tarazi, Amine(2008)。Bank Income Structure and Risk: An Empirical Analysis of European Banks。Journal of Banking and Finance,32(8),1452-1467。  new window
20.Agrawal, Anup、Mandelker, Gershon N.(1990)。Large Shareholders and the Monitoring of Managers: The Case of Antitakeover Charter Amendments。Journal of Financial and Quantitative Analysis,25(2),143-161。  new window
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22.Stiroh, Kevin J.、Rumble, Adrienne(2006)。The dark side of diversification: The case of US financial holding companies。Journal of Banking & Finance,30(8),2131-2161。  new window
23.Rajan, Raghuram G.(1992)。Insiders and Outsiders: The Choice between Informed and Arm's-Length Debt。The Journal of Finance,47(4),1367-1400。  new window
24.Bhattacharya, Chitrabhan B.、Sen, Sankar(2004)。Doing Better at Doing Good: When, Why, and How Consumers Respond to Corporate Social Initiatives。California Management Review,47(1),9-24。  new window
25.Hagendorff, J.、Collins, M.、Keasey, K.(2010)。Board monitoring, regulation, and performance in the banking industry: Evidence from the market for corporate control。Corporate Governance: An International Review,18(5),381-395。  new window
26.Rose, Peter S.(1989)。Diversification of the Banking Firm。The Financial Review,24(2),251-280。  new window
27.Boyd, John H.、Graham, Stanley L.(1986)。Risk, Regulation, and Bank Holding Company Expansion Into Nonbanking。Federal Reserve Bank of Minneapolis Quarterly Review,10(2),2-17。  new window
28.Diamond, Douglas W.(1991)。Monitoring and Reputation: The Choice between Bank Loans and Directly Placed Debt。Journal of Political Economy,99(4),689-721。  new window
29.Schmid, M. M.、Walter, I.(2009)。Do Financial Conglomerates Create or Destroy Economic Value?。Journal of Financial Intermediation,18,193-216。  new window
30.林昆立、黃玉麗(20140700)。收益多角化對銀行是光明面還是黑暗面?全球實證。管理評論,33(3),23-51。new window  延伸查詢new window
31.Deng, Saiying E.、Elyasiani, Elyas(2008)。Geographic Diversification, Bank Holding Company Value and Risk。Journal of Money, Credit, and Banking,40(6),1217-1238。  new window
32.Edmans, Alex(2011)。Does the Stock Market Fully Value Intangibles? Employee Satisfaction and Equity Prices。Journal of Financial Economics,101(3),621-640。  new window
33.林昆立、張妤甄、吳朝欽(20141200)。銀行資產與收益多角化是否影響銀行的風險?全球實證分析。兩岸金融季刊,2(4),1-29。new window  延伸查詢new window
34.Shleifer, Andrei、Vishny, Robert W.(1986)。Large shareholders and corporate control。Journal of Political Economy,94(3 Part 1),461-488。  new window
35.Edirisuriya, P.、Gunasekarage, A.、Dempsey, M.(2015)。Australian specific bank features and the impact of income diversification on bank performance and risk。Australian Economic Papers,54(2),63-87。  new window
36.Lee, C. C.、Hsieh, M. F.、Yang, S. J.(2014)。The relationship between revenue diversification and bank performance: Do financial structures and financial reforms matter?。Japan and the World Economy,29,18-35。  new window
37.陳怡凱、李揚、郭淑惠、李芳瑋(20180900)。控制股東對全球銀行多角化的剝奪效果。管理學報,35(3),267-306。new window  延伸查詢new window
38.Koh, Ping-Sheng、Qian, Cuili、Wang, Heli(2014)。Firm litigation risk and the insurance value of corporate social performance。Strategic Management Journal,35(10),1464-1482。  new window
39.Baele, Lieven、de Jonghe, Olivier、Vander Vennet, Rudi(2007)。Does the stock market value bank diversification?。Journal of Banking & Finance,31(7),1999-2023。  new window
40.Laeven, Luc、Levine, Ross(2007)。Is There a Diversification Discount in Financial Conglomerates?。Journal of Financial Economics,85(2),331-367。  new window
41.Yermack, David(1996)。Higher market valuation of companies with a small board of directors。Journal of Financial Economics,40(2),185-211。  new window
42.Chih, Hsiang-Lin、Shen, Chung-Hua、Kang, Feng-Ching(2008)。Corporate Social Responsibility, Investor Protection, and Earnings Management: Some International Evidence。Journal of Business Ethics,79(1/2),179-198。  new window
43.Dhaliwal, Dan S.、Li, Oliver Z.、Tsang, Albert、Yang, Yong G.(2011)。Voluntary nonfinancial disclosure and the cost of equity capital: The initiation of corporate social responsibility reporting。The Accounting Review,86(1),59-100。  new window
44.Kim, Yongtae、Li, Haidan、Li, Siqi(2014)。Corporate Social Responsibility and Stock Price Crash Risk。Journal of Banking and Finance,43,1-13。  new window
45.Sun, L.、Yu, T. R.(2015)。The Impact of Corporate Social Responsibility on Employee Performance and Cost。Review of Accounting and Finance,14,262-284。  new window
46.Turban, Daniel B.、Greening, Daniel W.(1997)。Corporate social performance and organizational attractiveness to prospective employees。Academy of Management Journal,40(3),658-672。  new window
47.Grewal, J.、Riedl, E. J.、Serafeim, G.(2019)。Market reaction to mandatory nonfinancial disclosure。Management Science,65(7),3061-3084。  new window
48.Lee, C.-C.、Yang, S.-J.、Chang, C.-H.(2014)。Non-interest income, profitability, and risk in banking industry: A cross-country analysis。The North American Journal of Economics and Finance,27,48-67。  new window
49.沈中華(20020600)。金控公司的銀行與獨立銀行CAMEL比較:1997-1998。臺灣金融財務季刊,3(2),73-94。new window  延伸查詢new window
50.Fama, Eugene F.(1980)。Agency Problems and the Theory of the Firm。Journal of Political Economy,88(2),288-307。  new window
51.Pound, John(1988)。Proxy contests and the efficiency of shareholder oversight。Journal of Financial Economics,20(1/2),237-265。  new window
52.Shen, C. H.、Lu, C. H.、Wu, M. W.(2009)。Impact of Foreign Bank Entry on the Performance of Chinese Banks。China & World Economy,17(3),102-121。  new window
53.Godfrey, Paul C.(2005)。The relationship between corporate philanthropy and shareholder wealth: A risk management perspective。The Academy of Management Review,30(4),777-798。  new window
54.McWilliams, Abagail、Siegel, Donald S.、Wright, Patrick M.(2006)。Corporate Social Responsibility: Strategic Implications。Journal of Management Studies,43(1),1-18。  new window
55.Waddock, Sandra A.、Graves, Samuel B.(1997)。The Corporate Social Performance-Financial Performance Link。Strategic Management Journal,18(4),303-319。  new window
56.Wu, Meng-Wen、Shen, Chung-Hua(2013)。Corporate Social Responsibility in the Banking Industry: Motives and Financial Performance。Journal of Banking and Finance,37(9),3529-3547。  new window
57.池祥萱、繆文娟、莊瀅臻(20140300)。企業社會責任對於公司財務績效之影響是雙面刃嗎?來自全球500大公司的證據。管理學報,31(1),1-19。new window  延伸查詢new window
58.Cornell, Bradford、Shapiro, Alan C.(1987)。Corporate Stakeholders and Corporate Finance。Financial Management,16(1),5-14。  new window
59.Aguilera, Ruth V.、Rupp, Deborah E.、Williams, Cynthia A.、Ganapathi, Jyoti(2007)。Putting the S Back in Corporate Social Responsibility: A Multilevel Theory of Social Change in Organizations。Academy of Management Review,32(3),836-863。  new window
60.Dowling, G. R.(2006)。How good corporate reputations create corporate value。Corporate Reputation Review,9(2),134-143。  new window
61.Pfeffer, Jeffrey(1972)。Size and Composition of Corporate Boards of Directors: The Organization and its Environment。Administrative Science Quarterly,17(2),218-228。  new window
研究報告
1.Bodnar, G. M.、Tang, C.、Weintrop, J.(1997)。Both sides of corporate diversification: The value impacts of geographic and industrial diversification。  new window
2.Kwan, S. H.(1998)。Securities activities by commercial banking firms' section 20 subsidiaries: Risk, return and diversification benefits。Federal Reserve Bank of San Francisco。  new window
圖書
1.Saunders, Anthony、Walter, Ingo(1994)。Universal banking in the United States: What could we gain? What could we lose?。New York:Oxford University Press。  new window
2.Freeman, Robert Edward(1984)。Strategic Management: A Stakeholder Approach。Pitman。  new window
其他
1.Busch, R.,Kick, T.(2009)。Income diversification in the German banking industry,https://www.econstor.eu/handle/10419/27767。  new window
2.中央銀行。我國金融健全指標,https://www.cbc.gov.tw/tw/cp-1053-1249-81686-1.html。  延伸查詢new window
3.Morgan, D. P.,Samolyk, K.(2003)。Geographic diversification in banking and its implication for bank portfolio choice and performance,http://citeseerx.ist.psu.edu/viewdoc/download?doi=10.1.1.524.2454&rep=rep1&type=pdf。  new window
圖書論文
1.Andriof, J.、Waddock, S.(2002)。Unfolding stakeholder engagement。Unfolding stakeholder thinking: Theory, responsibility and engagement。Sheffield:Greenleaf Publishing。  new window
 
 
 
 
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