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題名:金融危機的研究及其對臺灣的啟示--兼論未來的研究方向
書刊名:臺灣經濟預測與政策
作者:曹添旺 引用關係張文雅
出版日期:1999
卷期:30:1
頁次:頁91-102
主題關鍵詞:金融危機臺灣經濟
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(4) 博士論文(3) 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:52
  • 點閱點閱:23
期刊論文
1.Frenkel, Jacob A.、Goldstein, Morris(1986)。A Guide to Target Zones。IMF Staff Papers,33(4),633-673。  new window
2.Van der Ploeg, F.(1989)。Election Outcomes and the Stock Market。European Journal of Political Economy,5(1),21-30。  new window
3.Calvo, G. A.、Rodriguez, C. A.(1977)。A model of exchange rate determination under currency substitution and rational expectations。Journal of Political Economy,85,617-625。  new window
4.Devereux, M. B.、Purvis, D. D.(1990)。Fiscal Policy and the Real Exchange Rate。European Economic Review,34,1201-1211。  new window
5.許嘉棟(19860900)。雙元性金融體系下貨幣金融政策效果之短期分析:兼論銀行利率與黑市利率之關係。經濟論文,14(2),111-154。new window  延伸查詢new window
6.梁國樹(19940600)。金融自由化國際化的現況與展望。產業金融季刊,83,2-14。  延伸查詢new window
7.Van Wijnbergen, S. J. G.(1983)。Credit policy, inflation and growth in a financially repressed economy。Journal of Development Economics,13(1),45-65。  new window
8.Blackburn, K.(1988)。Collapsing Exchange Rate Regimes and Exchange Rate Dynamics: Some Further Examples。Journal of International Money and Finance,7,373-385。  new window
9.Willman, Aplo(1988)。Balance-of-Payments Crises and Monetary Policy Reactions in a Model with Imperfect Substitutability between Domestic and Foreign Bonds。Economics Letters,26(1),77-81。  new window
10.Mundell, R. A.(1963)。Capital Mobility and Stabilization Policy under Fixed and Flexible Exchanges Rates。Canadian Journal of Economics and Political Sciences,29,475-485。  new window
11.Flood, R. P.、Garber, P. M.、Kramer, C.(1996)。Collapsing Exchange Rate Regimes: Another Linear Example。Journal of International Economics,41,223-234。  new window
12.Agenor, P. R.、Bhandari, J. S.、Flood, R. P.(1992)。Speculative Attacks and Models of Balance of Payments Crises。IMF Staff Papers,39,357-394。  new window
13.Lai, C. C.、Chang, W. Y.、Chu, Y. P.(1989)。Exchange Rate Dynamics under Dual Exchange Rates: The Case of Neutral Intervention Policy。The Manchester School,57,235-247。  new window
14.Gavin, Michael(1989)。The stock market and exchange rate dynamics。Journal of International Money and Finance,8(2),181-200。  new window
15.Krugman, Paul(1979)。A Model of Balance-of-Payments Crises。Journal of Money, Credit, and Banking,11,311-325。  new window
16.Dornbusch, R.(1987)。Collapsing Exchange Rate Regimes。Journal of Development Economics,27,71-83。  new window
17.Lizondo, Jose Saul(1987)。Unification of Dual Exchange Markets。Journal of Internationa Economics,22(1),57-77。  new window
18.Buiter, W. H.(1987)。Borrowing to Defend the Exchange Rate and the Timing of and Magnitude of Speculative Attacks。Journal of International Economics,23,221-239。  new window
19.Djajic, S.(1989)。Dynamics of the Exchange Rate in Anticipation of Pegging。Journal of International Money and Finance,8,559-571。  new window
20.Edwards, Sebastian(1988)。Real and Monetary Determinants of Real Exchange Rate Behavior: Theory and Evidence from Developing Countries。Journal of Development Economics,29(3),311-341。  new window
21.Flood, R. P.、Marion, N. P.(1983)。Exchange-Rate Regimes in Transition: Italy 1974。Journal of International Money and Finance,2(3),279-294。  new window
22.Obstfeld, M.(1984)。Balance-of-Payments Crises and Devaluation。Journal of Money, Credit, and Banking,16,208-217。  new window
23.Flood, R. P.、Garber, P. M.(1984)。Collapsing Exchange Rate Regimes: Some Linear Examples。Journal of International Economics,17(1/2),1-13。  new window
24.Agenor, P. R.、Flood, R. P.(1992)。Unification of Foreign Exchange Markets。IMF Staff Papers,39(4),923-947。  new window
25.賴景昌、張文雅(19881200)。匯率制度變遷與物價調整方式。經濟論文叢刊,16(4),543-563。new window  延伸查詢new window
26.Sachs, J.(1980)。Wages, Flexible Exchange Rates, and Macroeconomic Policy。Quarterly Journal of Economics,94(4),731-747。  new window
27.Obstfeld, Maurice(1986)。Rational and Self-fulfilling Balance-of Payments Crises。American Economic Review,76,72-81。  new window
28.吳嘉隆(19861200)。理性預期以後總體與貨幣理論的一些新發展。經濟論文叢刊,15(1),141-170。new window  延伸查詢new window
29.陳昭南(19730300)。國際貨幣制度的癥結與改革。經濟論文,1(1),183-202。new window  延伸查詢new window
30.曹添旺、陳淑華(19990600)。貨幣危機的研究:省思與啟示。現代學術研究,9,119-129。  延伸查詢new window
31.Chang, W. Y.、Lai, C. C.(1994)。Anticipated Shocks and the Acceleration Hypothesis: The Implication of Wage Indexation。Southern Economic Journal,61,453-464。  new window
32.Flood, R. P.、Marion, N. P.(1999)。Perspectives on the Recent Currency Crisis Literature。International Journal of Finance and Economics,4(1),1-26。  new window
33.Lai, C. C.、Chang, W. Y.(1994)。Unification of Foreign Exchange Markets: A Comment on Agenor and Flood。IMF Staff Papers,41,163-170。  new window
34.Mitchell, D. W.(1984)。Macro Effects of Interest-Sensitive Aggregate Supply。Journal of Macroeconomics,6,43-56。  new window
35.Miller, M.、Papi, L.(1997)。The 'Laissez Faire' Bias of Managed Floating。Journal of International Money and Finance,16,989-990。  new window
36.Shaller. D. R.(1983)。Working Capital Finance Consideration in National Income Theory。American Economic Review,73,156-165。  new window
37.Svensson, L. E. O.(1994)。Why Exchange Rate Bands?。Journal of Monetary Economics,33,159-199。  new window
38.曹添旺、張植榕(19980600)。國際金融衝擊、匯率干預與物價波動。經濟論文,26(2),113-155。new window  延伸查詢new window
39.朱美麗、曹添旺(19870900)。產出水準、股票市場與滙率動態調整。經濟論文,15(2),45-59。new window  延伸查詢new window
40.陳師孟(19861200)。E. Helpman & A. Drazen “Inflationary Consequences of Future Stabilization Policies”一文之評介與引申。經濟論文叢刊,15(1),277-302。new window  延伸查詢new window
41.Dornbusch, Rudiger(1976)。Expectations and Exchange Rate Dynamics。Journal of Political Economy,84(6),1161-1176。  new window
42.Mundell, Robert A.(1961)。A theory of optimum currency areas。American Economic Review,51(4),657-665。  new window
43.Krugman, Paul R.(1991)。Target Zones and Exchange Rate Dynamics。Quarterly Journal of Economics,106(3),669-682。  new window
44.Miller, Marcus、Zhang, Lei(1996)。Optimal target zones: How an exchange rate mechanism can improve upon discretion。Journal of Economic Dynamics and Control,20(9/10),1641-1660。  new window
45.Turnovsky, S. J.(1979)。Optimal Monetary Policy under Flexible Exchange Rates。Journal of Economic Dynamics and Control,1(1),85-99。  new window
會議論文
1.曹添旺、張文雅(1999)。金融危機的研究及其啟示。「亞洲金融風暴之後的台灣經濟」政策研討會,中央研究院經濟研究所和中山人文社會科學研究所合辦 (會議日期: 1999年2月9日)。  延伸查詢new window
2.胡春田、黃釋緯(1998)。貨幣危機之實質效應。公共經濟學研討會--紀念張慶輝先生研討會,中央研究院中山人文社會科學研究所舉辦 。  延伸查詢new window
3.陳博志(1999)。「國際經濟」與會討論。「亞洲金融風暴之後的台灣經濟」政策研討會,中央研究院經濟研究所和中山人文社會科學研究所合辦 (會議日期: 1999年2月9日)。  延伸查詢new window
圖書
1.Caves, R. E.、Frankel, J. A.、Jones, R. W.(1996)。World Trade and Payments: An Introduction。Harper Collins College Publisher。  new window
2.Krugman, P.、Miller, M.(1992)。Exchange Rate Targets and Currency Bands。Cambridge:Cambridge University Press。  new window
3.International Monetary Fund(1998)。World Economic Outlook。Washington:IMF。  new window
4.陳師孟(1990)。總體經濟演義。台北:陳師孟。  延伸查詢new window
5.賴景昌(1994)。國際金融理論:進階篇。茂昌出版社。  延伸查詢new window
其他
1.楊雅惠(1998)。金融風暴下我國金融政策之省思,中華經濟研究院:行政院國科會。  延伸查詢new window
圖書論文
1.Obstfeld, M.、Stockman, A. C.(1985)。Exchange-Rate Dynamics。Handbook of International Economics。North Holland。  new window
 
 
 
 
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