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題名:國內上市公司風險報酬決策與代理問題之探討
書刊名:證券市場發展季刊
作者:陳玉瓊林婷鈴劉錦添
作者(外文):Chen, Yu-chiungLin, Ting-lingLiu, Jin-tan
出版日期:2020
卷期:32:2=126
頁次:頁39-72
主題關鍵詞:代理理論管家理論展望理論代理問題Agency theoryStewardship theoryProspect theoryAgency problem
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(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:102
  • 點閱點閱:8
期刊論文
1.Quails, W. J.、Puto, C. P.(1989)。Organizational Climate and Decision Framing: An Integrated Approach to Analyzing Industrial Buying Decisions。Journal of Marketing Research,26(2),179-192。  new window
2.Estrada, J.(2002)。Systematic Risk in Emerging Markets: The D-CAPM。Emerging Markets Review,3(4),365-379。  new window
3.Fiegenbaum, Avi、Thomas, Howard(1988)。Attitudes toward risk and the risk-return paradox: Prospect theory explanations。Academy of Management Journal,31(1),85-106。  new window
4.Lee, P. M.、O'Neill, H. M.(2003)。Ownership structures and R&D investments of US and Japanese firms: Agency and stewardship perspectives。Academy of Management Journal,46(2),212-225。  new window
5.Markowitz, Harry(1952)。The Utility of Wealth。Journal of Political Economy,60(2),151-158。  new window
6.Miller, K. D.、Bromiley, P.(1990)。Strategic Risk and Corporate Performance: An Analysis of Alternative Risk Measures。Academy of Management Journal,33(4),756-779。  new window
7.Houston, J. F.、James, C.(1995)。CEO compensation and bank risk: Is compensation in banking structured to promote risk taking?。Journal of Monetary Economics,36(2),405-431。  new window
8.Florackis, C.、Ozkan, A.(2009)。The impact of managerial entrenchment on agency costs: An empirical investigation using UK panel data。European Financial Management,15(3),497-528。  new window
9.洪榮華、陳香如、柯璟瑩(20051000)。從代理理論的角度探討董事會特性、股權結構與負債之關聯性。管理與系統,12(4),33-53。new window  延伸查詢new window
10.Berger, Allen N.、Di Patti, Emilia Bonaccorsi(2006)。Capital structure and firm performance: A new approach to testing agency theory and an application to the banking industry。Journal of Banking and Finance,30(4),1065-1102。  new window
11.Bowman, E. H.(1980)。A Risk/Return Paradox for Strategic Management。Sloan Management Review,21(3),17-31。  new window
12.Chen, S. N.(1982)。An Examination of Risk-Return Relationship in Bull and Bear Markets Using Time-Varying Betas。Journal of Financial and Quantitative Analysis,17(2),265-286。  new window
13.Bowman, E. H.(1982)。Risk Seeking by Troubled Firms。Sloan Management Review,23(4),33-42。  new window
14.周賓凰、池祥萱、周冠男、龔怡霖(20020700)。行為財務學--文獻回顧與展望。證券市場發展季刊,14(2)=54,1-47。new window  延伸查詢new window
15.王韻怡、池祥萱、周冠男(20160300)。行為財務學文獻回顧與展望:臺灣市場之研究。經濟論文叢刊,44(1),1-55。new window  延伸查詢new window
16.Kliger, Doron、Tsur, Iris(2011)。Prospect theory and risk-seeking behavior by troubled firms。Journal of Behavioral Finance,12(1),29-40。  new window
17.Hoskisson, R. E.、Chirico, F.、Zyung, J. D.、Gambeta, E.(2017)。Managerial risk taking: A multitheoretical review and future research agenda。Journal of Management,43(1),137-169。  new window
18.Pepper, A.、Gore, J.(2015)。Behavioral agency theory: New foundations for theorizing about executive compensation。Journal of Management,41(4),1045-1068。  new window
19.Fama, Eugene F.、Jensen, Michael C.(1983)。Separation of ownership and control。The Journal of Law & Economics,26(2),301-325。  new window
20.Deephouse, D. L.、Wiseman, R. M.(2000)。Comparing alternative explanations for accounting risk-return relations。Journal of Economic Behavior & Organization,42(4),463-482。  new window
21.吳惠林(20170100)。2016年諾貝爾經濟學獎得主契約理論泰斗--哈特和荷姆斯壯。經濟前瞻,169,106-113。  延伸查詢new window
22.Bosse, D. A.、Phillips, R. A.(2016)。Agency Theory and Bounded Self-Interest。Academy of Management review,41(2),276-297。  new window
23.Garvey, J.(2009)。An investigation into risk propensity in bull and bear markets。Journal of Risk Research,13(6),789-804。  new window
24.Lev, B.(1969)。Industry Averages as Targets for Financial Ratios。Journal of Accounting Research,7(2),290-299。  new window
25.Martin, J. A.、Butler, F. C.(2017)。Agent and stewardship behavior: How do they differ?。Journal of Management & Organization,23(5),633-646。  new window
26.Schillemans, T.(2013)。Moving Beyond The Clash of Interests: On stewardship theory and the relationships between central government departments and public agencies。Public management review,15(4),541-562。  new window
27.Shen, Chung-Hua、Chih, Hsiang-Lin(2005)。Investor Protection, Prospect Theory, and Earnings Management: An International Comparison of the Banking Industry。Journal of Banking and Finance,29(10),2675-2697。  new window
28.Tversky, Amos、Kahneman, Daniel(1981)。The Framing of Decisions and the Psychology of Choice。Science,211(4481),453-458。  new window
29.Agrawal, Anup、Knoeber, Charles R.(1996)。Firm Performance and Mechanisms to Control Agency Problems between Managers and Shareholders。The Journal of Financial and Quantitative Analysis,31(3),377-397。  new window
30.Baron, Reuben M.、Kenny, David A.(1986)。The Moderator-Mediator Variable Distinction in Social Psychological Research: Conceptual, Strategic, and Statistical Considerations。Journal of Personality and Social Psychology,51(6),1173-1182。  new window
31.Davis, James H.、Schoorman, F. David、Donaldson, Lex(1997)。Toward a stewardship theory of management。The Academy of Management Review,22(1),20-47。  new window
32.林欣美、郭麗華、蘇迺惠(20081200)。國際化程度、董事會結構、精練法人監督對盈餘管理之影響:以臺灣資訊電子業為例。臺大管理論叢,19(1),157-186。new window  延伸查詢new window
33.Ang, James S.、Cole, Rebel A.、Lin, James Wuh(2000)。Agency Costs and Ownership Structure。Journal of Finance,55(1),81-106。  new window
34.Jensen, Michael C.(1986)。Agency Costs of Free Cash Flow, Corporate Finance, and Takeovers。The American Economic Review,76(2),323-329。  new window
35.Kahneman, Daniel、Tversky, Amos(1979)。Prospect Theory: An Analysis of Decision under Risk。Econometrica: Journal of the Econometric Society,47(2),263-292。  new window
36.Eisenhardt, Kathleen M.(1989)。Agency Theory: An Assessment and Review。The Academy of Management Review,14(1),57-74。  new window
37.Fama, Eugene F.、MacBeth, James D.(1973)。Risk, Return, and Equilibrium: Empirical Tests。Journal of Political Economy,81(3),607-636。  new window
38.Jensen, Michael C.、Meckling, William H.(1976)。Theory of the firm: Managerial behavior, agency costs and ownership structure。Journal of Financial Economics,3(4),305-360。  new window
39.Donaldson, L.、Davis, J. H.(1991)。Stewardship theory or agency theory: CEO governance and shareholder returns。Australia Journal of Management,16,49-64。  new window
40.Fiegenbaum, Avi(1990)。Prospect Theory and the Risk-Return Association: An Empirical Examination in 85 Industries。Journal of Economic Behavior & Organization,14(2),187-203。  new window
圖書
1.Pilbeam, K.(2010)。Finance and financial markets。London:Palgrave Macmillan。  new window
 
 
 
 
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