| 期刊論文1. | West, Robert Craig(1985)。A Factor-Analytic Approach to Bank Condition。Journal of Banking and Finance,9(2),253-266。 | 2. | Shrieves, Ronald E.、Dahl, Drew(1992)。The Relationship Between Risk and Capital in Commercial Banks。Journal of Banking and Finance,16(2),439-457。 | 3. | Gasbarro, D.、Sadguna, I. G. M.、Zumwalt, J. K.(2002)。The Changing Relationship Between CAMEL Ratings and Bank Soundness during the Indonesian Banking Crisis。Review of Quantitative Finance and Accounting,19(3),247-260。 | 4. | 林維義(20000300)。金融預警制度之建立對強化金融監理與存保機制功能之探討。存款保險資訊季刊,13(3),1-81。 延伸查詢 | 5. | Hays, F. H.、De Lurgio, S. A.、Gilbert, A. H. Jr.(2009)。Efficiency Ratios and Community Bank Performance。Journal of Finance and Accountancy,1(1),1-15。 | 6. | Boyd, John H.、Chang, Chun、Smith, Bruce D.(1998)。Moral Hazard Under Commercial and Universal Banking。Journal of Money, Credit and Banking,30(3),426-468。 | 7. | 梁榮輝、徐中琦、廖振盛(20070900)。臺灣外商銀行財務經營績效與影響因素之實證研究。華人經濟研究,5(2),49-70。 延伸查詢 | 8. | Baral, K. J.(2005)。Health Check-up of Commercial Banks in the Framework of CAMEL: A Case Study of Joint Venture Banks in Nepal。The Journal of Nepalese Business Studies,2(1),41-55。 | 9. | Bouvatier, V.、Lepetit, L.(2012)。Effects of loan loss provisions on growth in bank lending: Some international comparisons。International Economics,132,91-116。 | 10. | Muhmad, S. N.、Hashim, H. A.(2015)。Using the CAMEL Framework in Assessing Bank Performance in Malaysia。International Journal of Economics, Management and Accounting,23(1),109-127。 | 11. | Scholtens, B.、Van't Klooster, S.(2019)。Sustainability and Bank Risk。Palgrave Communications,5,(105)1-(105)8。 | 12. | Shaddady, A.、Moore, T.(2019)。Investigation of the effects of financial regulation and supervision on bank stability: The application of CAMELS-DEA to quantile regressions。Journal of International Financial Markets, Institutions and Money,58,96-116。 | 研究報告1. | Hughes, J. P.、Mester, L. J.(2013)。Measuring the Performance of Banks: Theory, Practice, Evidence, and Some Policy Implications。 | 2. | 許振明(20091231)。建置國際金融海嘯後預警機制之研究。金融研訓院。 延伸查詢 | 學位論文1. | 李光傲(2007)。台灣金控公司績效因子之實證(碩士論文)。中興大學。 延伸查詢 | 圖書1. | 李榮謙(2001)。貨幣銀行學。智勝文化。 延伸查詢 | 圖書論文1. | 蔡曜如(2010)。金融危機對金融體系與總體經濟之影響。全球金融危機專輯。中央銀行。 延伸查詢 | 2. | Kurum, Mustafa Eser、Öztürk, Eray(2020)。A CAMELS Analysis of Selected Banks in Turkey After the Crisis in 2008。Strategic Priorities in Competitive Environments。 | |