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題名:臺灣之金融模型
書刊名:中央銀行季刊
作者:王洪正
出版日期:1986
卷期:8:4
頁次:頁22-50
主題關鍵詞:一般銀行中央銀行民間金融部門資產負債表臺灣
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(1) 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:1
  • 共同引用共同引用:14
  • 點閱點閱:52
期刊論文
1.王耀興(19810400)。十年來調整銀行利率的動機與時機之檢討。臺北市銀月刊,12(4),29-41。  延伸查詢new window
2.林淑華(19850900)。銀行資產負債管理之研究。中央銀行季刊,7(3),7-39。new window  延伸查詢new window
3.劉家祿(19850600)。我國利率結構之探討。中央銀行季刊,7(2),10-34。new window  延伸查詢new window
4.黃富櫻(19820300)。我國同業拆款市場之發展。中央銀行季刊,4(1),83-95。new window  延伸查詢new window
5.李繼祥(19850900)。出口與儲蓄:臺灣高儲蓄率成因試釋。經濟論文,13(2),143-164。new window  延伸查詢new window
6.盧志敏(19770900)。臺灣地區之商業銀行放款供需函數。臺灣銀行季刊,28(3),58-89。new window  延伸查詢new window
7.劉瑪琍(19820900)。本國一般銀行放款現狀之分析。中央銀行季刊,4(3),6-36。new window  延伸查詢new window
8.徐義雄(19790600)。公開市場操作之檢討。中央銀行季刊,1(2),6-20。new window  延伸查詢new window
9.Brainard, William、Tobin, James(1968)。Econometric Models: Their Problems, Usefulness, and Pitfalls in Financial Models Building。American Economic Review,1968(May),99-122。  new window
10.Benavie, Arthur、Froyen, Richard(1982)。Monetary Policy in a Model with a Federal Funds Market: Fixed versus Flexible Deposit Rates。The Southern Economic Journal,48(4),932-949。  new window
11.Anderson, Richard G.、Rasche, Robert H.(1982)。What Do Money Market Models Tell Us About How to Implement Monetary Policy?。Journal of Money, Credit and Banking,14(4),796-826。  new window
12.Gilbert, R. Alton(1985)。Operating Procedures for Conducting Monetary Policy。Review, Federal Reserve Bank of St. Louis,1985(Feb.),13-21。  new window
13.Farr, Helen T.、Porter, Richard D.(1982)。Comment on What Do Money Market Models Tell Us About How to Implement Monetary Policy。Journal of Money, Credit and Banking,14(4),857-868。  new window
14.Goodfriend, Marvin、Anderson, Gary、Kashyap, Anil、Moore, Geroge、Porter, Richard D.(1986)。A Weekly Rational Expectations Model of the Nonborrowed Reserve Operating Procedure。Economic Review,1986(Jan./Feb.),11-28。  new window
15.Goodfriend, Marvin(1984)。The Promises and Pitfalls of Contemporaneous Reserve Requirements for the Implementation of Monetary Policy。Economic Review, Federal Reserve Bank of Richmond,1984(May/Jun.),3-12。  new window
16.Goodfriend, Marvin(1982)。A Model of Money Stock Determination with Loan Demand and a Banking System Balance Sheet Constraint。Economic Review, Federal Reserve Bank of Richmond,1982(Jan./Feb.),3-16。  new window
17.Girton, Lance、Roper, Don(1977)。A Monetary Model of Exchange Market Pressure Applied to the Postwar Canadian Experience。American Economic Review,1977(Sep.),537-548。  new window
18.Thomson, Thomas、Pierce, James L.、Parry, Robert T.(1975)。A Monthly Money Market Model。Journal of Money, Credit and Banking,7(4),411-431。  new window
19.Nelson, Charles R.(1982)。Comment on Policy Robustness Specification and Simulation of a Monthly Money Market Model。Journal of Money, Credit and Banking,1982(Nov.),877-880。  new window
20.Modigliani, Franco、Rasche, Robert、Cooper, J. Phillip(1970)。Central Bank Policy, the Money Supply and the Short-Term Rate of Interest。Journal of Money, Credit and Banking,1970(May),166-217。  new window
21.Judd, John P.、Scadding, John L.(1982)。Comment on What Do Money Market Models Tell Us About How to Implement Monetary Policy。Journal of Money, Credit and Banking,1982(Nov.),868-877。  new window
22.Judd, John P.、Scadding, John L.(1981)。Liability Management, Bank Loans and Deposit 'Market' Disequilibrium。Economic Review, Federal Reserve Bank of San Francisco,1981(Summer),21-44。  new window
23.White, William R.、Poloz, Stephen S.(1980)。Monetary Policy and Chartered Bank Demand Functions for Excess Cash Reserves。The Canadian Journal of Economics,1980(May),189-205。  new window
24.Tinsley, Peter A.、Farr, Helen T.、Fries, Gerhard、Garrett, Bonnie、von zur Muehlen, Peter(1982)。Policy Robustness, Specification and Simulation of a Monthly Money Market Model。Journal of Money, Credit and Banking,1982(Nov.),827-856。  new window
25.Tobin, James(1958)。Liquidity Preference as Behavior Toward Risk。Review of Economic Studies,25(2),65-86。  new window
會議論文
1.Clinton, Kevin(1977)。Monetary Policy with a Floating Exchange Rate Some Econometric Results for Canada。The Third Pacific Basin Central Bank Conference on Econometric Modelling,(會議日期: Nov. 8-11, 1977)。Wellington:The Reserve Bank of New Zealand。45-50。  new window
研究報告
1.Clinton, Kevin、Masson, Paul(1975)。A Monthly Model of the Canadian Financial System。Ottawa:Bank of Canada。  new window
學位論文
1.林培州(1983)。銀行放款市場之失衡計量分析(碩士論文)。國立臺灣大學。  延伸查詢new window
2.李光輝(1979)。台灣貨幣市場資金供求之分析(碩士論文)。國立臺灣大學。  延伸查詢new window
圖書
1.Baker, James V.(1981)。Bank Asset/Liability Management。Washington, DC:American Bankers。  new window
2.Farr, Helen T.、Roberts, Steve M.、Thomson, Thomas D.(1976)。A Weekly Money Market Model。Washington, D.C.:Federal Reserve Board。  new window
3.Judd, John P.(1983)。A Monthly Model of the Money and Bank Loan Markets。Federal Reserve Bank of San Francisco。  new window
4.Sinkey, Joseph F. Jr.(1983)。Commercial Bank Financial Management。MacMillan Publishing Co.。  new window
圖書論文
1.Brunner, Karl、Meltzer, Allen H.(1976)。An Aggregate Theory for a Closed Economy。Monetarism。Amsterdam:North Holland。  new window
2.Tinsley, Peter A.、von zur Muehlen, Peter、Trepeta, Warren、Fries, Gerhard(1981)。Money Market Impacts of Alternative Operating Procedures。New Monetary Control Procedures。Washington, D.C.:Board of Governors of the Federal Reserve System。  new window
 
 
 
 
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