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題名:The Impact of Foreign Branch Operations on Multinational Bank Performance: Evidence from the European Sovereign Debt Crisis
書刊名:財務金融學刊
作者:黃盈甄
作者(外文):Huang, Ying-chen
出版日期:2021
卷期:29:4
頁次:頁79-114
主題關鍵詞:銀行表現國外分行歐洲主權債務危機全球銀行Bank performanceForeign branchEuropean sovereign debt crisisGlobal banking
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:0
  • 點閱點閱:31
期刊論文
1.Sturm, Jan-Egbert、Williams, Barry(2004)。Foreign bank entry, deregulation and bank efficiency: Lessons from the Australian experience。Journal of Banking and Finance,28(7),1775-1799。  new window
2.Roy, Andrew Donald(1952)。Safety First and the Holding of Assets。Econometrica: Journal of the Econometric Society,20,431-449。  new window
3.Demirgüç-Kunt, Asli、Huizinga, Harry(2010)。Bank activity and funding strategies: the impact on risk and returns。Journal of Financial Economics,98(3),626-650。  new window
4.Acharya, Viral V.、Hasan, Iftekhar、Saunders, Anthony(2006)。Should Banks Be Diversified? Evidence from Individual Bank Loan Portfolios。Journal of Business,79(3),1355-1412。  new window
5.Focarelli, Dario、Pozzolo, Alberto F.(2005)。Where do banks expand abroad? An empirical analysis。Journal of Business,78(6),2435-2464。  new window
6.Lane, Philip R.(2012)。The European Sovereign Debt Crisis。Journal of Economic Perspectives,26(3),49-68。  new window
7.Ball, Clifford A.、Tschoegl, Adrian E.(1982)。The Decision to Establish a Foreign Bank Branch or Subsidiary: An Application of Binary Classification Procedures。Journal of Financial and Quantitative Analysis,17,411-424。  new window
8.Smirlock, Michael(1985)。Evidence on the (Non) relationship between concentration and profitability in banking。Journal of Money, Credit and Banking,17,69-83。  new window
9.Shiers, Alden F.(2002)。Branch banking, economic diversity and bank risk。The Quarterly Review of Economics and Finance,42,587-598。  new window
10.Rughoo, Aarti、Sarantis, Nicholas(2014)。The global financial crisis and integration in European retail banking。Journal of Banking & Finance,40,28-41。  new window
11.Peek, Joe、Rosengren, Eric S.(2000)。Collateral damage: Effects of the Japanese Bank Crisis on Real Activity in the United States。The American Economic Review,90,30-45。  new window
12.Laeven, Luc、Valencia, Fabián(2013)。The real effects of financial sector interventions during crises。Journal of Money, Credit and Banking,45,147-177。  new window
13.Fraser, Donald R.、Hooton, Jerry L.、Kolari, James W.、Reising, Joseph J.(1997)。The wealth effects of interstate branching。Journal of Banking & Finance,21,589-611。  new window
14.de Haas, Ralph、van Lelyveld, Iman(2010)。Internal capital markets and lending by multinational bank subsidiaries。Journal of Financial Intermediation,19(1),1-25。  new window
15.Cetorelli, Nicola、Goldberg, Linda S.(2012)。Banking globalization and monetary transmission。Journal of Finance,67,1811-1843。  new window
16.Correa, Ricardo、Lee, Kuan-Hui、Sapriza, Horacio、Suarez, Gustavo A.(2014)。Sovereign credit risk, banks' government support, and bank stock returns around the world。Journal of Money, Credit and Banking,46,93-121。  new window
17.Dagher, Jihad、Kazimov, Kazim(2015)。Banks' Liability structure and mortgage lending during the financial crisis。Journal of Financial Economics,116,565-582。  new window
18.Acharya, Viral V.、Drechsler, Itamar、Schnabl, Philipp(2014)。A pyrrhic victory? Bank bailouts and sovereign credit risk。Journal of Finance,69(6),2689-2739。  new window
19.Aiyar, Shekhar(2012)。From financial crisis to great recession: the role of globalized banks。American Economic Review,102,225-230。  new window
20.Navaretti, Giorgio Barba、Calzolari, Giacomo、Pozzolo, Alberto Franco、Levi, Micol(2010)。Multinational banking in Europe: financial stability and regulatory implications: lessons from the financial crisis。Economic Policy,25,703-753。  new window
21.Beltratti, Andrea、Stulz, René M.(2012)。The credit crisis around the globe: Why did some banks perform better?。Journal of Financial Economics,105(1),1-17。  new window
22.Hultman, Charles W.、McGee, L. Randolph(1989)。Factors Affecting the Foreign Banking Presence in the U.S.。Journal of Banking and Finance,13(3),383-396。  new window
23.Magri, Silvia、Mori, Alessandra、Rossi, Paola(2005)。The Entry and the Activity Level of Foreign Banks in Italy: An Analysis of the Determinants。Journal of Banking and Finance,29(5),1295-1310。  new window
24.Curi, Claudia、Guarda, Paolo、Lozano-Vivas, Ana、Zelenyuk, Valentin(2013)。Is foreign-bank efficiency in financial centers driven by home or host country characteristics?。Journal of Productivity Analysis,40,367-385。  new window
25.Ho, Po-Hsin、Huang, Chia-Wei、Lin, Chih-Yung、Yen, Ju-Fang(2016)。CEO overconfidence and financial crisis: Evidence from bank lending and leverage。Journal of Financial Economics,120(1),194-209。  new window
26.Deng, Saiying E.、Elyasiani, Elyas(2008)。Geographic Diversification, Bank Holding Company Value and Risk。Journal of Money, Credit, and Banking,40(6),1217-1238。  new window
27.Grammatikos, Theoharry、Vermeulen, Robert(2012)。Transmission of the financial and sovereign debt crises to the EMU: Stock prices, CDS spreads and exchange rates。Journal of International Money and Finance,31(3),517-533。  new window
28.Acharya, Viral V.、Eisert, Tim、Eufinger, Christian、Hirsch, Christian(2018)。Real effects of the sovereign debt crisis in Europe: Evidence from syndicated loans。Review of Financial Studies,31,2855-2896。  new window
29.Allegret, Jean-Pierre、Raymond, Hélène、Rharrabti, Houda(2017)。The impact of the European sovereign debt crisis on banks stocks. Some evidence of shift contagion in Europe。Journal of Banking and Finance,74,24-37。  new window
30.Caruana, Jaime、Avdjiev, Stefan(2012)。Sovereign creditworthiness and financial stability: An international perspective。Financial Stability Review,16,71-85。  new window
31.Claessens, Stijn(2017)。Global banking: Recent developments and insights from research。Review of Finance,21,1513-1555。  new window
32.De Haas, Ralph、Van Lelyveld, Iman(2014)。Multinational banks and the global financial crisis: Weathering the perfect storm。Journal of Money, Credit, and Banking,46,333-364。  new window
33.Michaelides, Alexander、Milidonis, Andreas、Nishiotis, George P.、Papakyriakou, Panayiotis(2015)。The adverse effects of systematic leakage ahead of official sovereign debt rating announcements。Journal of Financial Economics,116,526-547。  new window
34.Popov, Alexander、Van Horen, Neeltje(2015)。Exporting sovereign stress: Evidence from syndicated bank lending during the Euro area sovereign debt crisis。Review of Finance,19,1825-1866。  new window
35.Ramcharan, Rodney、Verani, Stéphane、Van den Heuvel, Skander J.(2016)。From Wall Street to main street: The impact of the financial crisis on consumer credit supply。Journal of Finance,71,1323-1356。  new window
36.Aebi, Vincent、Sabato, Gabriele、Schmid, Markus(2012)。Risk management, corporate governance, and bank performance in the financial crisis。Journal of Banking & Finance,36(12),3213-3226。  new window
37.Cerutti, Eugenio、Dell'Ariccia, Giovanni、Martínez Peria, Maria S.(2007)。How Banks Go Abroad: Branches or Subsidiaries?。Journal of Banking and Finance,31(6),1669-1692。  new window
研究報告
1.Kaufmann, Daniel、Kraay, Aart、Mastruzzi, Massimo(2009)。Governance matters VIII: Aggregate and individual governance indicators, 1996-2008。  new window
圖書
1.International Monetary Fund(2011)。Global Financial Stability Report: Grappling with Crisis Legacies。International Monetary Fund。  new window
其他
1.European Bank for Reconstruction and Development(2015)。Transition report 2015-2016: Rebalancing finance,http://2015.tr-ebrd.com/en/。  new window
 
 
 
 
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