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題名:美國倒閉銀行特性之研究﹣﹣應用多變量分析
書刊名:存款保險資訊季刊
作者:傅偉明
出版日期:1987
卷期:1:2
頁次:頁23-36
主題關鍵詞:美國倒閉銀行
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(2) 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:0
  • 點閱點閱:9
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。  new window
2.Deakin, Edward B.(1972)。A discriminant analysis of predictors of business failure。Journal of Accounting Research,10(1),167-179。  new window
3.Mitchell, K.(1985)。Interest Rate Risk Management at Tenth District Banks。Economic Review,70(5),3-19。  new window
4.Sinkey, Joseph F. Jr.(1975)。A Multivariate Statistical Analysis of the Characteristics of Problem Banks。Journal of Finance,30(1),21-36。  new window
5.Meyer, Paul A.、Pifer, Howard W.(1970)。Prediction of Bank Failures。Journal of Finance,25(4),853-868。  new window
6.Altaman, Edward I.(1968)。Financial Ratios. Discriminant Analysis and the Prediction or Corporate Bankruptcy。Journal of Finance,1968(Sep.),589-609。  new window
7.Crandall, Roderick P.(1985)。Inaccuracies in Bankruptcy Classification Equation。Journal of Commercial Bank Lending,1985(Apr.),44-48。  new window
8.Edmister, Robert O.(1972)。An Empirical Test of Financial Ratio Analysis of Small Business Failure Prediction。Journal of Financial and Quantitative Analysis,1972(Mar.),1477-1493。  new window
9.Horvitz, Paul M.(1975)。Failures of Large Banks: Implications for Banking Supervision and Deposit Insurance。Journal of Financial and Quantitive Analysis,10(4),589-601。  new window
10.Mayer, Thomas(1975)。Should Large Banks be Allowed to Fail?。Journal of Financial and Quantitive Analysis,10(4),603-610。  new window
11.Sharpe, William F.(1978)。Bank Capital Adequacy, Deposit Insurance and Securities Values。Journal of Financial and Quantitative Analysis,1978(Nov.),701-719。  new window
12.Robertson, John(1983)。Company Failure: Measuring changes in Financial health through ratio analysis。Management Accounting,1983(Nov.),24-28。  new window
13.Ricketts, Donald、Stover, Roger(1978)。An Examination of Commercial Bank Financial Ratios。Journal of Bank Research,1978(Summer),121-124。  new window
14.Olson, Ronaid L.、Simonson, Donaid G.、Reber, Stanley R.、Hempel, Georage H.(1980)。Management of Bank Interest Margin in the 1980's。Magazine of Bank Administration,1980(Mar.),31-33。  new window
15.Sinkey, Joseph F. Jr.(1978)。Identifying Problem Banks。Journal of Money, Credit, and Banking,1978(May),184-193。  new window
16.Sinkey, Joseph F. Jr.(1975)。Problem Banks Identification and characteristics。Journal of Bank Research,1975(Winter),208-217。  new window
17.Simonson, Donald G.、Hempel, George H.(1982)。Improving Gap Management for Controlling Interest Rate Risk。Journal of Bank Research,1982(Summer),109-115。  new window
18.Simonson, Donald G.、Stowe, John D.、Watson, Collin J.(1983)。A Canonical Correlation Analysis of Commercial Bank Asset/Liability Structures。Journal of Financial and Quantitative Analysis,1983(Mar.),125-140。  new window
19.Tussing, A. Dale(1967)。The Case for Bank Failure。Journal of Law and Economics,10,129-147。  new window
研究報告
1.Spahr, Ronald W.、Boal, Grag(1985)。Prediction and Diagnostic Analysis of Firm Bankruptcy。  new window
圖書
1.Klecka, William R.(1980)。Discriminant Analysis。Beverly Hills:Sage Publications。  new window
2.Kim, Jae-on、Mueller, Charles W.(1978)。Introduction of Fuctor Analysis。Sage Publication Inc.。  new window
3.Timm, Neil H.(1975)。Multivariate Analysis with Application in Education and Psychology。Wadsworth Publishing Company, Inc.。  new window
單篇論文
1.Bieber, Ftephen L.,Smith, David V.。Multivariate analysis of sensory data: A comparison of methods,University of Wyoming。  new window
 
 
 
 
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