期刊論文1. | Rochet, Jean-Charles(1992)。Capital requirements and the behavior of commercial banks。European Economic Review,36,1137-1178。 ![](/gs32/thssjcncl/image/nclsfx.gif) ![new window](/gs32/images/newin.png) |
2. | Kim, Daesik、Santomero, Anthony M.(1988)。Risk in banking and capital regulation。Journal of Finance,43(5),1219-1233。 ![](/gs32/thssjcncl/image/nclsfx.gif) ![new window](/gs32/images/newin.png) |
3. | Charnes, A.、Thore, S.(1966)。Planning for Liquidity in Financial Institutions: The Chance-Constrained Method。Journal of Finance,21,649-674。 ![](/gs32/thssjcncl/image/nclsfx.gif) ![new window](/gs32/images/newin.png) |
4. | Furlong, F. T.、Keeley, M. C.(1987)。Bank Capital Regulation and Asset Risk。Economic Review (Federal Reserve Bank of San Francisco),1987(Spring),20-40。 ![](/gs32/thssjcncl/image/nclsfx.gif) ![new window](/gs32/images/newin.png) |
5. | Kahane, Yehuda(1977)。Capital Adequacy and the Regulation of Financial Intermediaries。Journal of Banking and Finance,1(2),207-218。 ![](/gs32/thssjcncl/image/nclsfx.gif) ![new window](/gs32/images/newin.png) |
6. | 魏江霖(19881000)。國內銀行財務規劃模型之探討。企銀季刊,12(2),4-25。 延伸查詢![new window](/gs32/images/newin.png) |
7. | Aghili, Parvis、Cramer, Robert H.、Thompson, Howard E.(1975)。Small Bank Balance Sheet Management: Applying Two-Stage Programming Models。Journal of Bank Research,5,246-256。 ![](/gs32/thssjcncl/image/nclsfx.gif) ![new window](/gs32/images/newin.png) |
8. | Brodt, Abraham I.(1984)。International Bank Asset Liability Management。Journal of Bank Research,82-94。 ![](/gs32/thssjcncl/image/nclsfx.gif) ![new window](/gs32/images/newin.png) |
9. | Brodt, Abraham I.(1978)。A Dynamic Balance Sheet Management Model for a Canadian Chartered Bank。Journal of Banking and Finance,221-241。 ![](/gs32/thssjcncl/image/nclsfx.gif) ![new window](/gs32/images/newin.png) |
10. | Broaddus, Alfred(1972)。Linear Programming: A New Approach To Bank Portfolio Management。Federal Reserve of Richmond: Monthly Review。 ![](/gs32/thssjcncl/image/nclsfx.gif) ![new window](/gs32/images/newin.png) |
11. | Dahl, Wilmer A.、Dobson, W. D.(1976)。An Analysis of Alternative Financing Strategies and Equity Retirement Plans for Farm Supply Cooperatives。American Journal of Agricultural Economics,58(2),198-208。 ![](/gs32/thssjcncl/image/nclsfx.gif) ![new window](/gs32/images/newin.png) |
12. | Cohen, Kalman J.、Hammer, Frederick S.(1967)。Application of Financial Theory: Linear Programming and Optimal Bank Asset Management Decision。Journal of Finance,147-167。 ![](/gs32/thssjcncl/image/nclsfx.gif) ![new window](/gs32/images/newin.png) |
13. | Marsh, Paul(1992)。The Choice Between Equity and Debt: An Empirical Study。The Journal of Finance,37(1)。 ![](/gs32/thssjcncl/image/nclsfx.gif) ![new window](/gs32/images/newin.png) |
14. | Merton, R. C.(1972)。An Analytic Derivation of the Efficient Protfolio Frontier。Journal of Financial and Quantitative Analysis,701-708。 ![](/gs32/thssjcncl/image/nclsfx.gif) ![new window](/gs32/images/newin.png) |
15. | Eatman, John L.、Sealey, C. W. Jr.(1967)。Multiobjective Linear。Journal of Finance,147-167。 ![](/gs32/thssjcncl/image/nclsfx.gif) ![new window](/gs32/images/newin.png) |
16. | Ferri, Michael、Jones, Wesleyh(1979)。Determinants of Financial Structure: A New Technological Approach。The Journal of Finance,34(3)。 ![](/gs32/thssjcncl/image/nclsfx.gif) ![new window](/gs32/images/newin.png) |
17. | Gibson, William E.(1987)。Asset/Liability Strategies。The Bankers Magazine,11-15。 ![](/gs32/thssjcncl/image/nclsfx.gif) ![new window](/gs32/images/newin.png) |
18. | Acharya, Sankarshan、Dreyfus, Jean-François(1989)。Optimal Bank Reorganization Policies and the Pricing of Federal Deposit Insurance。Journal of Finance,44(5),1313-1333。 ![](/gs32/thssjcncl/image/nclsfx.gif) ![new window](/gs32/images/newin.png) |
19. | 何文榮、黃明祥(19960600)。銀行在資本比率管制下最適財務結構之研究。臺灣銀行季刊,47(2),1-22。 延伸查詢![new window](/gs32/images/newin.png) |
20. | Harris, Milton、Raviv, Artur(1991)。The Theory of Capital Structure。The Journal of Finance,46(1),297-355。 ![](/gs32/thssjcncl/image/nclsfx.gif) ![new window](/gs32/images/newin.png) |
21. | Myers, Stewart C.(1984)。The Capital Structure Puzzle。Journal of Finance,39(3),574-592。 ![](/gs32/thssjcncl/image/nclsfx.gif) ![new window](/gs32/images/newin.png) |