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題名:臺灣企業高階主管對長期投資風險的看法和處理
書刊名:中山管理評論
作者:何順文楊兆萊羅容恆
出版日期:1995
卷期:3:1
頁次:頁10-26
主題關鍵詞:臺灣企業高階主管長期投資風險
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)
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  • 共同引用共同引用:0
  • 點閱點閱:58
期刊論文
1.Baird, I. S.、Thomas, Howard(1985)。Toward A Contingency Model of Strategic Risk Taking。The Academy of Management Review,10(2),230-243。  new window
2.Alderfer, Clayton P.、Bierman, H.(1970)。Choices with Risk: Beyond the Mean and Variance。Journal of Business,43,341-353。  new window
3.Gurnani, C.(1984)。Capital Budgeting: Theory and Practice。Engineering Economist,30,19-46。  new window
4.Gitman, L. J.、Mercurio, Vincent A.(1982)。Cost of Capital Techniques Used by Major U.S. Firms。Financial Management,11(4),21-29。  new window
5.Fishburn, P. C.(1977)。Mean-Risk Analysis with Below-Target Returns。American Economic Review,67,116-126。  new window
6.Klammer, T. P.、Walker, M. C.(1984)。The Continuing Increase in The Use of Sophisticated Capital Budgeting Techniques。California Management Review,22(1),137-151。  new window
7.Kaheman, D.、Tversky, A.(1982)。Variants of Uncertainty。Cognition,11,143-157。  new window
8.Ho, S. S. M.、Pike, R. H.(1991)。Risk Analysis in Capital Budgeting Contexts Simple or Sophisticated?。Accounting and Business Research,21,227-238。  new window
9.Kunreuther, H.(1976)。Limited Knowledge and Insurance Protection。Public Policy,24,227-261。  new window
10.Laughhunn, D. J.、Payne, J. W.、Crum, R.(1980)。Managerial Risk Preferences for Below-Target Returns。Management Science,26(12),1238-1249。  new window
11.Mao, J. C.(1970)。Survey of Capital Budgeting: Theory and Practice。Journal of Finance,25(2),349-360。  new window
12.March, T. A.、Swanson, D. S.(1984)。Risk-return trade-offs for strategic management。Sloan Management Review,25,35-51。  new window
13.March, G. J.、Shapira, Z.(1977)。Managerial Perspectives on Risk and Risk Taking。Management Science,33(11),1404-1418。  new window
14.Scott, D. F.、Petty, J. W. II(1984)。Capital Budgeting Practices in Large American Firms: A Retrospective Analysis。The Financial Review,19(1),111-123。  new window
15.Pike, R. H.、Ho, S. S. M.(1991)。Risk Analysis in Capital Budgeting: Barriers and Benefits。OMEGA (The International Journal of Management Science),19(4),235-245。  new window
16.Pike, R. H.(1988)。Do Sophisticated Capital Budgeting Approaches Impose Investment Decision Making Effectiveness?。The Engineering Economist。  new window
17.Petty, J. W.、Scott, D. F. Jr.、Bird, M. M.(1975)。The Capital Expenditure Decision-Making Process of Large Corporations。The Engineering Economist,20(3),159-172。  new window
18.Vlek, C.、Stallen, P.(1980)。Rational and Personal Aspects of Risk。Acta Psychologica,45,273-300。  new window
19.Slovic, P.、Fishchhoff, B.、Lichtenstein, S.(1977)。Behavioral Decision Theory。Annual Review Psychology,28,1-39。  new window
20.Slovic, P.(1967)。The Relative Influence of Probabilities and Payoffs upon Perceived Risk of a Gamble。Psychonomic Science,9,223-224。  new window
21.Bowman, E. H.(1980)。A Risk/Return Paradox for Strategic Management。Sloan Management Review,21(3),17-31。  new window
22.Bowman, E. H.(1982)。Risk Seeking by Troubled Firms。Sloan Management Review,23(4),33-42。  new window
會議論文
1.Bettis, R. A.(1982)。Risk Considerations in Modeling Corporate Strategy22-25。  new window
圖書
1.鄭為元(1990)。高度成長下臺灣人民的經濟態度。臺北:巨流。  延伸查詢new window
2.Dexter, L. A.(1970)。Elite and specialized interviewing。Evanston, IL:Northwestern University Press。  new window
3.Peters, Thomas J.、Waterman, Robert H. Jr.(1982)。In search of excellence。Harper & Row。  new window
4.黃俊英(1990)。臺灣管理經驗實証研究。中華民國管理科學學會。  延伸查詢new window
5.唐富藏(1989)。投資計畫評估與決策。華泰書局。  延伸查詢new window
6.林建山(1991)。臺灣企業原理。環球經濟社。  延伸查詢new window
7.Bierman, H.(1986)。Implementation of Capital Budgeting Techniques: Survey and Synthesis。Tampa, Florida:Financial Management Association。  new window
8.Denenburg, H. S.、Eilers, R. D.、Melone, J. J.、Zelten, R. A.(1984)。Risk and Insurance。Englewood Cliff, NJ:Prentice-Hall。  new window
9.Cooper, Dale、Chapman, Chris(1987)。Risk Analysis for Large Projects: Models, Methods, and Cases。Chichester:John Wiley & Sons。  new window
10.Coombs, C. H.(1983)。Psychology and Mathematics。Ann Arbor:University of Michigan Press。  new window
11.Hertz, D. B.、Thomas, H.(1983)。Risk Analysis and Its Applications。Chichester:John Wiley & Sons, Inc.。  new window
12.Hull, J. C.(1980)。The Evaluation of Risk in Business Investment。London:Pergamon。  new window
13.Knight, F.(1921)。Risk, Uncertainty and Profit。Boston, Mass:Houghton Mifflin。  new window
14.MacCrimmon, K.、Wehrung, D.(1986)。Taking Risks: The Management of Uncertainty。New York:Free Press。  new window
15.Myers, S. C.(1976)。Modern Developments in Financial Management。New York:Dryde Press。  new window
16.Markowitz, H. M.(1959)。Portfolio Selection: Efficient Diversification of Investment。New York:John Wiley & Sons。  new window
17.Rowe, W. D.(1991)。An Anatomy of Risk。New York:Wiley。  new window
單篇論文
1.Shapira, Z.(1986)。Risk in Managerial Decision Making,Hebrew University。  new window
圖書論文
1.Brenner, M.、Shapira, Z.(1983)。Environmental Uncertainty as Determining Merger Activity。Mergers: Motives, Models, Methods。New York。  new window
2.Grayson, C. J.(1967)。The Use of Statistical Techniques in Capital Budgeting。Financial Research and Management Decisions。New York:John Wiley & Sons, Inc.。  new window
3.Ho, S. S. M.(1990)。An Integrative Operational Framework for Strategic Risk Analysis。Contemporary Issues in Decision Making。Elsevier Science Publisher-North Holland。  new window
 
 
 
 
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