:::

詳目顯示

回上一頁
題名:海外投資之滙率風險管理
書刊名:華人經濟研究
作者:簡宣博
作者(外文):Chien, Hsuan-po
出版日期:2015
卷期:13:1
頁次:頁127-155
主題關鍵詞:海外投資風險管理滙率風險Oversea investmentRisk managementExchange rate risk
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(2) 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:11
  • 點閱點閱:10
海外投資是一種資本跨越國界移動使用的型態,長久以來,國際經濟理論早已證實,生產資源的自由移動,對於移出、移入之國家均有裨益。尤有進者,海外投資尚可以突破貿易障礙,達到實質輸出的目的,可有效的運用外匯存底,實現自由化、國際化的發展目標外,尚可增進投資國與被投資國之國民總生產,因而增進兩國或兩地區間之經濟福利水準,以及兩國或兩地區間之政治、外交與友誼關係。惟海外投資經濟活動,難免會遭遇到投資國與被投資國間風俗、習慣、法令規章、經濟政策、財政政策之差異以及市場調查不易等困難,此外尚面臨政治危險、法律風險、信用危險、匯率變動風險等不利之因素,因而可能影響海外投資之經濟活動的裹足不前,對前述之不利因素,必須尋求解決之措施,始能期待該項經濟活動之推展,進而達成預期之經濟政策目標。因此,資本發達且經濟發展較為先進的國家或地區,基於鼓勵企業對外投資的政策,為協助私人企業從事海外投資與解決其難題,莫不致力協助私人企業從事做好風險管理,藉以紓解投資企業所面臨的風險與困難,俾利海外投資經濟活動之順利進行。本文旨在探討海外投資之匯率風險可行的控制型風險管理與財務型風險管理策略。
Oversea investment is defined as an investment in which the investor acquires a substantial controlling interest in a foreign firm or set up a subsidiary in a foreign country. Oversea investment can make the investor get more returns than in domestic. Moreover, it can increase home country as well as host country economic welfares and growth rates. There exist some problems and risks by the investors when they going to get oversea investment such as financial problems and credit risk, politic risk, law risk, change in exchange rate risk. The purposes of the study are: (1) To evaluate the basic principle for oversea investment (2) To analyze the risk management in exchange rate which the investor have to do when they are to keep oversea investment moving.
期刊論文
1.Taub, B.(1989)。Insurance and Economic Growth。Journal of Public Economics,12-28。  new window
2.簡宣博(19880300)。我國海外投資保險現行承保範圍之商榷。保險專刊,11,61-71。new window  延伸查詢new window
3.Pentikainen, T.(1980)。The Theory of Risk and Some Applications。The Journal of Risk and Insurance,47,19-25。  new window
4.方文碩、賴奕豪(20010300)。匯率風險對出口貿易之衝擊。臺灣金融財務季刊,2(1)=4,83-101。new window  延伸查詢new window
5.高櫻芬、施衍礽(20020500)。公司價值與匯率變動之間的關係--臺灣上市公司之實證研究。風險管理學報,4(1),19-45。new window  延伸查詢new window
6.李命地(2004)。利率價差對國際滙價走勢之影響。朝陽高等評論,3(1),55-76。  延伸查詢new window
7.簡宣博(20131100)。海外投資之法律風險管理。華人前瞻研究,9(2),1-27。new window  延伸查詢new window
8.Bahmani-Oskooee, M.、Payesth, S.(1993)。Does Exchange-Rate Vo1atility Deter Trade Volume of LDCs。Journal of Economic Development,18(2),189-205。  new window
9.Hey, J. D.(1981)。Hedging and the Competitive Labor-Managed Firm Under Price Uncertainty。The American Economic Review,71(4),753-757。  new window
10.Katz, E.(1984)。The Firm and Price Hedging in an Imperfect Market。International Economic Review,25,215-219。  new window
11.Arize, A. C.(1995)。The Effects of Exchange-Rate Volatility on U.S. Exports: An Empirical Investigation。Southern Economic Journal,62(1),34-43。  new window
12.Arize, A. C.(1996)。Real Exchange-Rate Volatility and Trade Flows: The Experience of Eight European Economies。International Review of Economics and Finance,5(2),187-205。  new window
13.Arize, A. C.(1996)。The Impact of Exchange-Rate Uncertainty on Export Growth: Evidence from Korean Data。International Economic Journal,10(3),49-60。  new window
14.Broll, Udo、Eckwert, Bernhard(1999)。Exchange Rate Volatility and International Trade。Southern Economic Journal,66(1),178-185。  new window
15.Chang, T. Y.、Fang, W. S.、Liu, W. R.、Thompson, H.(2000)。Exports, imports and income in Taiwan: An Examination of The Export Led Growth Hypothesis。International Economic Journal,14,151-160。  new window
16.Franke, Gunter(1991)。Exchange Rate Volatility and International Trading Strategy。Journal of International Money and Finance,10(2),292-307。  new window
17.McKenzie, M. D.、Brooks, R. D.(1997)。The Impact of Exchange Rate Volatility on German-U. S. Trade Flows。Journal of International Financial Markets, Institutions & Money,7(1),73-87。  new window
18.Pozo, Susan(1992)。Conditional Exchange-rate Volatility and the Volume of International Trade: Evidence from The Early 1900s。The Review of Economics and Statistics,74(2),325-329。  new window
19.Ethier, W.(1973)。International Trade and the Forward Exchange Market。American Economic Review,63(3),494-503。  new window
20.Arize, A. C.(1997)。Foreign Trade and Exchange-Rate Risk in the G-7 Countries: Cointegration and Error-Correction Models。Review of Financial Economics,6(1),95-112。  new window
21.Rothschild, M.、Stiglitz, J.(1976)。Equilibrium in Competitive Insurance Markets: An Essay on the Economics of Imperfect Information。The Quarterly Journal of Economics,90(4),629-650。  new window
22.Batra, R. N.、Ullah, A.(1974)。Competitive Firm and the Theory of Input Demand under Price Uncertainty。Journal of Political Economy,82(3),537-548。  new window
23.Holthausen, D. M.(197912)。Hedging and the Competitive Firm under Price Uncertainty。Amer Econ. Rev.,69,989-995。  new window
24.Engle, Robert F.、Kroner, Kenneth F.(1995)。Multivariate simultaneous generalized arch。Econometric Theory,11(1),122-150。  new window
研究報告
1.簡宣博(1998)。海外投資保險之研究。  延伸查詢new window
學位論文
1.吳瑞益(2010)。考量狀態轉換對銀行在利率和匯率下的風險管理(碩士論文)。國立暨南國際大學。  延伸查詢new window
圖書
1.Chacholiades, M.(1990)。International Economics。McGraw-Hill。  new window
2.Hu, Sheng-cheng(1993)。Social Insurance and the Macroeconomic Equilibrium。Institute of Economics, Academia Sinica。  new window
 
 
 
 
第一頁 上一頁 下一頁 最後一頁 top
:::
無相關書籍
 
無相關著作
 
QR Code
QRCODE