| 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 | 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。 延伸查詢 | 3. | 劉家祿(19850600)。我國利率結構之探討。中央銀行季刊,7(2),10-34。 延伸查詢 | 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。 延伸查詢 | 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。 延伸查詢 | 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。 延伸查詢 | 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。 延伸查詢 | 8. | 徐義雄(19790600)。公開市場操作之檢討。中央銀行季刊,1(2),6-20。 延伸查詢 | 9. | Brainard, William、Tobin, James(1968)。Econometric Models: Their Problems, Usefulness, and Pitfalls in Financial Models Building。American Economic Review,1968(May),99-122。 | 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。 | 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。 | 12. | Gilbert, R. Alton(1985)。Operating Procedures for Conducting Monetary Policy。Review, Federal Reserve Bank of St. Louis,1985(Feb.),13-21。 | 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。 | 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。 | 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。 | 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。 | 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。 | 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。 | 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。 | 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。 | 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。 | 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。 | 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。 | 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。 | 25. | Tobin, James(1958)。Liquidity Preference as Behavior Toward Risk。Review of Economic Studies,25(2),65-86。 | 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。 | 研究報告1. | Clinton, Kevin、Masson, Paul(1975)。A Monthly Model of the Canadian Financial System。Ottawa:Bank of Canada。 | 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 | 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 | 圖書1. | Baker, James V.(1981)。Bank Asset/Liability Management。Washington, DC:American Bankers。 | 2. | Farr, Helen T.、Roberts, Steve M.、Thomson, Thomas D.(1976)。A Weekly Money Market Model。Washington, D.C.:Federal Reserve Board。 | 3. | Judd, John P.(1983)。A Monthly Model of the Money and Bank Loan Markets。Federal Reserve Bank of San Francisco。 | 4. | Sinkey, Joseph F. Jr.(1983)。Commercial Bank Financial Management。MacMillan Publishing Co.。 | 圖書論文1. | Brunner, Karl、Meltzer, Allen H.(1976)。An Aggregate Theory for a Closed Economy。Monetarism。Amsterdam:North Holland。 | 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。 | |