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題名:公司治理、經營績效與企業預警模型之探討
書刊名:臺灣銀行季刊
作者:葉彩蓮 引用關係謝昀翰
出版日期:2013
卷期:64:3
頁次:頁40-61
主題關鍵詞:公司治理經營績效財務危機危機預警模型
原始連結:連回原系統網址new window
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  • 被引用次數被引用次數:期刊(0) 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:0
  • 共同引用共同引用:308
  • 點閱點閱:12
期刊論文
1.黃博怡、張大成、江欣宜(2006)。考慮總體經濟因素之企業危機預警模型。金融風險管理季刊,2(2),75-89。  延伸查詢new window
2.陳瓊蓉、林俊男(20081200)。臺灣上市櫃公司財務危機預警模型之研究--景氣收縮期與擴張期之比較。臺灣銀行季刊,59(4),281-300。new window  延伸查詢new window
3.Rose, P. S.、Andrews, W. T.、Girous, G. A.(1982)。Predicting Business Failure: A Macroeconomic Perspective。Journal of Accounting, Auditing & Finance,6(1),20-38。  new window
4.江向才、何里仁(2003)。公司治理之資訊透明度與經營績效關聯性之實證研究。管理會計,63,1-20。  延伸查詢new window
5.Sharma, S.、Mahajan, V.(1980)。Early Warning Indicators of Business Failure。Journal of Marketing,44(4),80-89。  new window
6.蔡柳卿、陳慧慧(2006)。公司治理對總經理更換一公司續效敏感性之影響:臺灣上市公司之證據。管理研究學報,6(2),273-305。new window  延伸查詢new window
7.Mensah, Yaw M.(1984)。An examination of the stationarity of multivariate bankruptcy prediction models: A methodological study。Journal of Accounting Research,22(1),380-395。  new window
8.溫育芳、蔡佳芳(20090300)。資訊揭露透明度對公司危機預警模型的重要性。臺灣金融財務季刊,10(1),107-139。new window  延伸查詢new window
9.Altman, E. I.(1968)。Financial Ratios, Discriminant Analysis and the Predication of Corporate Bankruptcy。Journal of Finance,23(4),589-609。  new window
10.Laitinen, E. K.、Laitinen, T.(1998)。Cash Management Behavior and Failure Prediction。Journal of Finance & Accounting,25(7/8),613-630。  new window
11.Beaver, William H.(1966)。Financial ratio as predictors of failure。Journal of Accounting research,4(3),71-111。  new window
12.黃劭彥、李超雄、洪光宏、吳東憲(2006)。以經營效率觀點建立台灣資訊電子業財務危機預警模型。文大商管學報,11(2),1-20。new window  延伸查詢new window
13.葉彩蓮、陳澤義(2000)。台灣公營銀行經營效率之比較:資料包絡分析法的應用。東吳經濟商業學報,22,77-100。new window  延伸查詢new window
14.Atiya, A. F.(2001)。Bankruptcy Prediction for Credit Risk using Neural Networks: A Survey and New Results。IEEE transactions on neural networks,12(4),929-935。  new window
15.Elloumi, F.、Gueyié, J.(2001)。Financial Distress and Corporate Governance: An Empirical Analysis。Corporate Governance: The International Journal of Effective Board Performance,1(1),15-23。  new window
16.Coats, P. K.、Fant, L. F.(1991)。A Neural Network Approach to Forecasting Financial Distress。Journal of Business Forecasting,10,9-12。  new window
17.Martin, Daniel(1977)。Early Warning of Banking Failure: A logit regression approach。Journal of Banking and Finance,1(3),249-276。  new window
18.Mitton, Todd(2002)。A Cross-firm Analysis of the Impact of Corporate Governance on the East Asian Financial Crisis。Journal of Financial Economics,64(2),215-241。  new window
19.Lee, Tsun-Siou、Yeh, Yin-Hua(2004)。Corporate Governance and Financial Distress: Evidence from Taiwan。Corporate Governance: An International Review,12(3),378-388。  new window
20.Coughlan, A. T.、Schmidt, Ronald M.(1985)。Executive compensation, management turnover, and firm performance: An empirical investigation。Journal of Accounting and Economics,7(1-3),43-66。  new window
21.Farrell, Michael James(1957)。The Measurement of Productive Efficiency。Journal of the Royal Statistical Society: Series A (General),120(3),253-290。  new window
22.Jensen, Michael C.(1993)。The Modern Industrial Revolution, Exit, and the Failure of Internal Control System。Journal of Finance,48(3),831-880。  new window
23.Claessens, Stijn、Djankov, Simeon、Fan, Joseph P. H.、Lang, Larry H. P.(2002)。Disentangling the Incentive and Entrenchment Effects of Large Shareholdings。The Journal of Finance,57(6),2741-2771。  new window
24.La Porta, Rafael、López-de-Silanes, Florencio、Shleifer, Andrei、Vishny, Robert W.(2002)。Investor protection and corporate valuation。The Journal of Finance,57(3),1147-1170。  new window
25.Charnes, Abraham、Cooper, William W.、Rhodes, Edwardo(1978)。Measuring the efficiency of decision making units。European Journal of Operational Research,2(6),429-444。  new window
26.Fan, Joseph P. H.、Wong, Tak-Jun(2002)。Corporate ownership structure and the informativeness of accounting earnings in East Asia。Journal of Accounting and Economics,33(3),401-425。  new window
27.Zmijewski, Mark E.(1984)。Methodological Issues Related to the Estimation of Financial Distress Prediction Models。Journal of Accounting Research,22(Supplement),59-82。  new window
研究報告
1.Demirguc-Kunt, A.、Detragiache, E.(1997)。The determinants of banking crises: Evidence from developing and developed countries。  new window
2.Claessens, S.、Djankov, S.、Fan, J. P. H.、Lang, L. H. P.(1999)。Expropriation of Minority shareholders in East Asia。Washington, DC:World Bank。  new window
學位論文
1.蘇進祿(2004)。以資料包絡分析法評估鋼鐵產業經營績效之研究(碩士論文)。國立成功大學。  延伸查詢new window
2.劉容慈(2002)。整合公司治理、會計資訊與總體經濟敏感度之財務危機模型(碩士論文)。輔仁大學,臺北。  延伸查詢new window
3.劉文仲(2002)。銀行早期預警系統--市場與會計資訊之應用(碩士論文)。東吳大學。  延伸查詢new window
4.江宜蓁(2008)。美國股票上市公司財務預警模型之實證研究(碩士論文)。大葉大學。  延伸查詢new window
5.林郁翎(2002)。銀行危機預警綜合指標之建立--Signal Extraction Approach與Panel Logit Model之結合(碩士論文)。東吳大學。  延伸查詢new window
6.張雅婷(2009)。資訊透明度之揭露對財務危機公司預警模型之影響(碩士論文)。元智大學。  延伸查詢new window
7.劉皇佑(2009)。景氣循環下的財務危機預警模型--納入產業與集團探討(碩士論文)。國立臺灣科技大學。  延伸查詢new window
8.陳肇榮(1983)。運用財務比率預測企業財務危機之實證研究(博士論文)。國立政治大學。new window  延伸查詢new window
圖書
1.Hosmer, D. W.、Lemeshow, S.(1989)。Applied Logistic Regression。New York:John Wiley and Sons。  new window
2.賴柏志、閻美晴(2008)。金融聯合徵信雙月刊四月號,消費者個人信用評分產品(J10)。  延伸查詢new window
3.葉銀華、李存修、柯承恩(20020000)。公司治理與評等系統。臺北:商智文化。new window  延伸查詢new window
單篇論文
1.Kaminsky, G.,Reinhart, C. M.(1996)。The causes of banking and balance-of-payment problems,Federal Reserve Board and International Monetary Fund。  new window
 
 
 
 
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