:::

詳目顯示

回上一頁
題名:國際金融危機的經驗與啟示
作者:黃仁德林進煌
出版日期:2007
出版項:臺北:聯經
ISBN:9789570831733
主題關鍵詞:金融危機國際金融
學門:經濟學
資料類型:專書
相關次數:
  • 被引用次數被引用次數:期刊(5) 博士論文(2) 專書(0) 專書論文(0)
  • 排除自我引用排除自我引用:5
  • 共同引用共同引用:0
  • 點閱點閱:23
期刊論文
1.王承宗(19990600)。俄羅斯財政困境與金融問題。美歐季刊,13(2)=134,205-227。  延伸查詢new window
2.王耀興(20030900)。金融管制與金融自由化的迷思。財稅研究,35(5),22-46。new window  延伸查詢new window
3.中央銀行經濟研究處國際經濟科(1999)。東亞金融風暴。中央銀行季刊,19(4),36-57。  延伸查詢new window
4.左峻德、朱正忠(19980200)。東亞金融危機對我國之影響及因應對策。經濟情勢暨評論,3(4),9-23。  延伸查詢new window
5.李文瑞(19940800)。從歐洲匯率機制之名存實亡看歐洲統合的困難與障礙。臺北銀行月刊,25(8)=299,2-10。  延伸查詢new window
6.李淑娟(1998)。由俄羅斯財經現況探討其金融危機發生背景。國際經濟情勢週報,1255,6-14。  延伸查詢new window
7.李宗賓(19991200)。亞洲銀行體系的財務透明度。國際金融參考資料,44,11-17。new window  延伸查詢new window
8.何泰寬(20030400)。國家債務重整新機制:克魯格方案。臺灣經濟金融月刊,39(4)=459,35-40。  延伸查詢new window
9.吳福成(1998)。北國風雲起、寒流幾時退?俄羅斯金融危機探微。台灣經濟研究月刊,21(10),102-106。new window  延伸查詢new window
10.周濟(19980200)。金融風暴對亞洲及臺灣經濟的影響。經濟情勢暨評論,3(4),1-8。  延伸查詢new window
11.林正牧(1998)。評IMF金援措施之成效。台灣經濟研究月刊,21(4),17-18。  延伸查詢new window
12.屈筱琳(19970900)。國際貨幣基金防範金融危機之道。中央銀行季刊,19(3),46-57。new window  延伸查詢new window
13.屈筱琳(1998)。金融風暴後南韓經濟結構改革與經濟情勢之探討。中央銀行季刊,20(3),47-63。new window  延伸查詢new window
14.邱湘靈(1997)。亞洲金融危機之成因及其影響分析。國際經濟情勢週報,1214,6-14。  延伸查詢new window
15.侯山林(1998)。中國大陸外匯體制改革與人民幣匯率未來發展趨勢。國際經濟情勢週報,1222,6-18。  延伸查詢new window
16.施遵驊(1995)。歐洲匯率暨貨幣聯盟的發展。美歐月刊,10(9),28-43。  延伸查詢new window
17.孫震(1998)。東南亞金融危機的後續影響與啓示。中國商銀月刊,17(5),1-6。  延伸查詢new window
18.徐世澄(1998)。墨西哥與泰國金融危機的異同。拉丁美洲研究,3,1-8。  延伸查詢new window
19.馬千惠(19950900)。歐洲貨幣整合之探討。美歐月刊,10(9)=113,44-60。  延伸查詢new window
20.張明寬(19991200)。金融風暴及IMF。國際金融參考資料,44,117-121。new window  延伸查詢new window
21.張國榮(1995)。國際資本流動對開發中國家經濟之影響--以墨西哥金融危機為例。台灣經濟研究月刊,18(6),53-54。new window  延伸查詢new window
22.張國榮(1998)。全球金融情勢近況及經濟前景分析。國際經濟情勢週報,1252,6-15。  延伸查詢new window
23.許嘉棟(19991200)。開放資本自由移動之影響與因應。中央銀行季刊,21(4),23-36。new window  延伸查詢new window
24.梁國樹(1991)。台灣經濟自由化的未來推動方向。經濟前瞻,6(4),11-19。new window  延伸查詢new window
25.陳琪(1995)。墨西哥金融危機之啓示。今日合庫,21(7),30-34。  延伸查詢new window
26.陳進安(19981000)。俄羅斯金融危機。中國商銀月刊,17(10),29-40。  延伸查詢new window
27.陳進安(19990200)。IMF與亞洲金融危機。中國商銀月刊,18(2),1-25。  延伸查詢new window
28.陳茂瑋、林建甫(19990100)。亞洲金融危機成因之探討。金融財務,1,69-87。  延伸查詢new window
29.陳志強(1997)。南韓金融危機之剖析。國際經濟情勢週報,1216,6-17。  延伸查詢new window
30.彭淮南(19950300)。墨西哥金融危機。中央銀行季刊,17(1),12-20。new window  延伸查詢new window
31.彭淮南(1998)。論港幣匯率。台北銀行月刊,28(4),32-36。  延伸查詢new window
32.黃登興(19980500)。金融風暴與東協自由貿易區的未來。經濟情勢暨評論,4(1),38-49。  延伸查詢new window
33.楊雅惠(19990300)。國際貨幣基金在亞洲金融風暴中之角色。經濟前瞻,62,58-62。  延伸查詢new window
34.楊清(1995)。薩利納斯的改革與墨西哥金融危機。拉丁美洲研究,3,43-47。  延伸查詢new window
35.董瑞斌、邱湘靈(19980100)。東亞金融危機之成因及其影響。臺灣經濟研究月刊,21(1)=241,17-25。new window  延伸查詢new window
36.歐陽承新(2000)。東南亞金融危機問題--從東亞金融危機評IMF的救援方針。經濟前瞻,55,64-70。  延伸查詢new window
37.盧世勳(19970900)。東南亞金融危機之探討。中央銀行季刊,19(3),23-45。new window  延伸查詢new window
38.謝明宏(1998)。俄羅斯經濟危機的效應。貿易雜誌,14,5-6。  延伸查詢new window
39.鍾世靜(1999)。金融危機與對策良藥苦口--備受批評的IMF金融紆困貸款方案。國際金融參考資料,44,78-83。  延伸查詢new window
40.邊裕淵(1999)。亞洲金融危機的省思與啓示。輔仁學誌,29,21-42。  延伸查詢new window
41.Akerlof, George A.(1970)。The Market for Lemons: Quality Uncertainty and the Market Mechanism。Quarterly Journal of Economics,84,488-500。  new window
42.Bernanke, B.、Gertler, M.(1990)。Financial Fragility and Economic Performance。Quarterly Journal of Economics,105,87-114。  new window
43.Bernanke, B.(1983)。Non-Monetary Effect of the Financial Crisis in the Propagation of the Great Depression。American Economic Review,73,257-276。  new window
44.Blanco, H.、Garber, P.(1986)。Recurrent Devaluation and Speculative Attacks on the Mexican Peso。Journal of Political Economy,94(1),148-166。  new window
45.Bordo, M. D.(1990)。Lender of Last Resort: Alternative Views and Historical Experience。Federal Reserve Bank of Richmond Economic Review,76(1),18-29。  new window
46.Cole, H.、Kehoe, T.(1996)。A Self-fulfilling Model of Mexico'€™s 1994-1995 Debt Crisis。Journal of International Economics,41,309-330。  new window
47.Connolly, M.、Taylor, D.(1984)。The Exact Timing of the Collapse of an Exchange Rate Regime and Its Impact on the Relative Price of Traded Goods。Journal of Money, Credit and Banking,16,194-207。  new window
48.Corsetti, G.、Pesenti, P.、Roubini, N.(1999)。Paper Tigers? A Model of the Asian Crisis。European Economic Review,43(1),1211-1236。  new window
49.Flood, Robert P.、Garber, Peter M.(1984)。Collapsing Exchange Rate Regimes: Some Linear Examples。Journal of International Economics,17(1),194-207。  new window
50.Frankel, J. A.、Schmukier, S. L.(1996)。Country Fund Discount and the Mexican Crisis of December 1994: Did Local Residents Turn Pessimistic before International Investor?。Open Economies Review,7,511-534。  new window
51.Frankel, J. A.、Rose, A. K.(1996)。Currency Crashes in Emerging Markets: An Empirical Treatment。Journal of International Economics,41(3/4),351-366。  new window
52.Gorton, G.(1988)。Bank Panics and Business Cycles。Oxford Economic Papers,40,751-781。  new window
53.Greenwald, J.(1995)。Don’t Panic: Here Comes Bailout Bill。Time,145(6)。  new window
54.Greenwald, B.、Stiglitz,J. E.、Weiss, A.(1984)。Information Imperfections in the Capital Market and Macroeconomic Fluctuations。American Economic Review,74,194-199。  new window
55.Jaffee, D. M.、Russell, T.(1976)。Imperfect Information, Uncertainty, and Credit Rationing。Quarterly Journal of Economics,90,651-666。  new window
56.Kmgman, P.(1994)。The Myth of Asia’s Miracle。Foreign Affairs,1994(Nov./Dec.),62-78。  new window
57.Krugman, P.(1998)。Asia: What Went Wrong。Fortune,137,32-34。  new window
58.Kmgman, P.(1999)。Balance Sheets, the Transfer Problem, and Financial Crises。International Tax and Public Finance,6,459-472。  new window
59.Sachs, J.、Warner, A.(1995)。Economic Reform and the Process of Global Integration。Brookings Papers on Economic Activity,1,1-118。  new window
60.Sachs, J.(1997)。Nature, Nurture and Growth。Economist,1997(June),19-22。  new window
61.Salant, S.、Henderson, D.(1978)。Market Anticipation of Government Policy and the Price of Gold。Journal of Political Economy,86,627-648。  new window
62.Summers, L. H.(2000)。International Financial Crises: Causes, Prevention, and Cures。American Economic Review,90(2),1-16。  new window
63.Yanshen, W.(1998)。The Financial Crisis in Southeast Asia: It's Enlightenment Influence and Prospect。Contemporaiy Asia-Pacific Studies,1,17-21。  new window
64.彭淮南(19980200)。亞洲金融風暴。中國商銀月刊,17(2),1-37。  延伸查詢new window
65.Krugman, P. R.(1979)。A Model of Balance-of-Payments Crises。Journal of Money, Credit and Banking,11,311-325。  new window
66.Obstfeld, M.(1984)。Balance-of-Payments Crises and Devaluation。Journal of Money, Credit, and Bankings,16(1),208-217。  new window
67.Lipscy, Phillip Y.(2003)。Japan's Asian Monetary Fund Proposal。Standford Journal of East Asian Affairs,3(1),93-104。  new window
68.Obstfeld, M.(1996)。Models of Currency Crises with Self-fulfilling Features。European Economic Review,40,1037-1047。  new window
69.廖坤榮(20050100)。金融重建基金制度建構與執行績效:臺灣與南韓的比較分析。問題與研究,44(1),79-114。new window  延伸查詢new window
70.王健全(19980300)。福兮禍所伏,禍兮福所倚--亞洲金融風暴的省思。經濟前瞻,13(2)=56,94-99。  延伸查詢new window
71.Kaminsky, Graciela L.、Reinhart, Carmen M.(1999)。The Twin Crises: The Causes of Banking and Balance-of-Payments Problems。American Economic Review,89(3),473-500。  new window
會議論文
1.Greenspan, Alan(1998)。Remarks before the 34th Annual Conference on Bank Structure and Competition。The 34th Annual Conference on Bank Structure and Competition,(會議日期: 1998/05/07)。Federal Reserve Bank of Chicago。  new window
2.Mishkin, F. S.(1996)。Understanding Financial Crises: A Developing Country Perspective。Annual World Bank Conference on Development Economics。Washington, D. C:World Bank。29-62。  new window
3.Yoshitomi, M.、Ohno, K.(1999)。Capital Account Crisis and Credit Contraction--The New Nature of Crisis Requires New Policy Responses。5th Annual Nanyang Asia-pacific Central Banking Conferences,(會議日期: July 8-10)。Singapore。  new window
研究報告
1.Barro, R.(2001)。Economic Growth in East Asia Before and After the Financial Crisis。  new window
2.Chang, R.、Velasco, A.(1998)。Financial Crises in Emerging Market: A Canonical Model。  new window
3.Cohen, D.、Portes, R.(2006)。Toward a Lender of First Resort。  new window
4.Corsetti, G.、Pesenti, P.、Roubini, N.(1998)。What Caused the Asian Currency and Financial Crisis?。  new window
5.Edwards, S.(1999)。Crisis Prevention: Lessons from Mexico and East Asia。  new window
6.Edwards, S.、Savastano, M. A.(1998)。The Morning After: The Mexican Peso in the Aftermath of the 1994 Currency Crisis。  new window
7.Eichengreen, B.(2000)。The EMS Crisis in Retrospect。  new window
8.Eichengreen, B.、Gupta, P.、Mody, A.(2006)。Sudden Stop and IMF supported Program。  new window
9.Flood, R. P.、Marion, N. P.(1998)。Perspectives on the Recent Currency Crises Literature。  new window
10.Goldfajn, I.、Vlades, R. O.(1996)。The Aftermath of Appreciations。  new window
11.Jones, M. T.、Karasulu, M.(2006)。The Korean Crisis: What Did We Know and When Did We Know It? What StressTests of the Corporate Sector Reveal。  new window
12.Kaminsky, G. L.、Lizondo, S.、Reinhart, C. M.(1997)。Leading Indicators of Currency Crises。  new window
13.Kim, J. I.(2006)。IMF-supported Programs and Crisis Prevention: An Analytical Framework。  new window
14.Krueger, A.、Tomell, A.(1999)。The Role of Bank Restructuring in Recovering from Crises: Mexico 1995-98。  new window
15.Lane, T. D.、Ghosh, A. R.、Hamann, A. J.、Phillips, S.、Schulze-Gattas, M.、Tsikata, T. M.(1999)。IMF-Supported Programs in Indonesia, Korea and Thailand。  new window
16.Mishkin, Frederic S.(1994)。Preventing Financial Crises: An International Perspective。  new window
17.Ostry, J. D.、Zettelmeyer, J.(2005)。Strengthening IMF Crisis Prevention。  new window
18.Pastor, G.、Damjanovic, T.(2001)。The Russian Financial Crisis and its Consequences for Central Asia。  new window
19.Ramakrishnan, U.、Zalduendo, J.(2006)。The Role of IMF Supportin Crisis Prevention。  new window
20.Rose, A. K.、Svensson, L. E. O.(1993)。European Exchange Rate Credibility before the Fall。  new window
21.Sachs, Jeffrey D.、Tornell, Aaron、Velasco, Andrés(1996)。Financial Crises in Emerging Markets: The Lessons from 1995。  new window
22.Obstfeld, Mauricc(1994)。The Logic of Currency Crises。  new window
23.Eichengreen, B.、Rose, A. K.、Wyplosz, C.(1996)。Contagious Currency Crises。National Bureau of Economic Research。  new window
24.Goldfajn, M. Ilan、Valdés, M. Rodrigo O.(1997)。Capital Flows and the Twin Crises: The Role of Liquidity。International Monetary Fund。  new window
學位論文
1.王瑤瑛(1999)。國際貨幣基金的組織與功能(碩士論文)。國立政治大學。  延伸查詢new window
2.林彥君(2000)。新興工業化國家經濟發展之依賴性--1994至1995年墨西哥金融危機個例研究(碩士論文)。淡江大學。  延伸查詢new window
3.洪進明(2001)。由北美自由貿易協定論美洲區域經濟之整合(博士論文)。中國文化大學。new window  延伸查詢new window
4.張惠娜(1996)。從歐洲貨幣危機論歐洲貨幣整合之發展(碩士論文)。淡江大學。  延伸查詢new window
5.陳茂瑋(1998)。亞洲金融危機之研究(碩士論文)。國立臺灣大學。  延伸查詢new window
6.陳建昌(2000)。國際資金移動對對東亞國家之影響--以東亞金融風暴為例(碩士論文)。國立中山大學。  延伸查詢new window
7.黃靖媛(2000)。過去廿年世界主要金融危機之解析與省思(碩士論文)。國立中正大學。  延伸查詢new window
8.曾嘉瑜(2000)。亞洲金融風暴後各國金融改革政策及成效之分析(碩士論文)。國立臺灣大學。  延伸查詢new window
9.葉南輝(2002)。金融自由化與銀行危機、匯率危機:台灣總體經實證研究(碩士論文)。國立臺灣大學。  延伸查詢new window
10.劉行公(1999)。亞洲金融危機成因、經驗、對策與借鏡之研究(碩士論文)。國立中興大學。  延伸查詢new window
11.蔡蘭馨(2000)。匯率危機預警模型--東亞地區實證研究(碩士論文)。國立政治大學。  延伸查詢new window
12.謝忠志(2003)。國家金融安定基金操作績效評估之研究(碩士論文)。世新大學。  延伸查詢new window
13.謝秋萍(1999)。國際金融危機之形成原因與政策因應之研究(碩士論文)。國立政治大學。  延伸查詢new window
14.羅任媛(2001)。新興市場國家金融危機成因之研究--以俄羅斯為案例(碩士論文)。國立政治大學。  延伸查詢new window
15.龔自珍(2001)。1997年亞洲金融危機之政治經濟分析--金融全球化架構下之金融不穩定性(碩士論文)。國立臺北大學。  延伸查詢new window
16.劉碧華(1998)。歐洲貨幣統合的政治經濟研究(碩士論文)。國立政治大學。  延伸查詢new window
17.吳德鳳(2000)。東亞金融危機對亞太區域安全影響之政治經濟分析(碩士論文)。國立暨南國際大學。  延伸查詢new window
圖書
1.長谷川慶太郎、汪仲(1998)。亞洲金融風暴:世紀末經濟危機。臺北:時報文化出版公司。  延伸查詢new window
2.王騰坤(1997)。歐洲貨幣整合--理論分析與現況探討。臺北:商田出版社。  延伸查詢new window
3.朱雲鵬、瞿大文、Mobius, Mark、商業周刊編輯部(2005)。金磚四國關鍵報告--經濟強權改組,財富重新分配。臺北:商智文化公司。  延伸查詢new window
4.江時學(1997)。拉美發展模式研究。北京:經濟管理出版社。  延伸查詢new window
5.江丙坤(1999)。台灣經濟發展與展望。臺北:行政院經濟建設委員會。  延伸查詢new window
6.何國世(2003)。墨西哥史。臺北:三民書局。  延伸查詢new window
7.周雪舫(2003)。俄羅斯史。臺北:三民書局。  延伸查詢new window
8.財政部金融局(1998)。亞洲金融風暴研究。臺北:財政部金融局。  延伸查詢new window
9.孫義宣、李榮謙(1999)。國際貨幣制度。臺北:金融人員研究訓練中心。  延伸查詢new window
10.張光平(1999)。國際貨幣基金組織與亞洲金融危機。臺北:八方文化公司。  延伸查詢new window
11.淳洋(2002)。解讀索羅斯--DECODING SOROS。臺北:海鴿文化公司。  延伸查詢new window
12.賈昭南(2002)。國際金融實務與理論。臺北:華泰文化公司。  延伸查詢new window
13.黃仁德(2000)。總體經濟理論與政策。臺北:華泰文化公司。  延伸查詢new window
14.黃琛瑜(1999)。歐洲聯盟。臺北:五南書局。  延伸查詢new window
15.葉秋南(1999)。國際金融危機剖析。臺北:金融聯合徵信中心。  延伸查詢new window
16.歐陽勛、黃仁德(1997)。國際金融理論與制度。臺北:三民書局。  延伸查詢new window
17.劉憶如、何佳(1999)。東亞十國--金融風暴前與後。臺北:富鼎財經顧問。  延伸查詢new window
18.經濟部投資業務處(2005)。墨西哥投資環境簡介。臺北:經濟部。  延伸查詢new window
19.經濟部投資業務處(2006)。墨西哥投資環境簡介。臺北:經濟部。  延伸查詢new window
20.經濟部投資業務處(2006)。俄羅斯投資環境簡介。臺北:經濟部。  延伸查詢new window
21.Blanchard, O.(2000)。Macroeconomics。New Jersey:Prentice-Hall。  new window
22.Calvo, G.、Goldstein, M.(1996)。Crisis Prevention and Crisis Management after Mexico: What Role for the Official Sector?。Washington, D. C.:Institute for International Economics。  new window
23.Camdessus, M.(1998)。The Role of the IMF: Past, Present, and Future。Washington, D. C.:International Monetary Fund。  new window
24.Copeland, L. S.(2000)。Exchange Rates and International Finance。Edinbergh:Pearson Education。  new window
25.Edward, S.(1989)。Real Exchange Rate, Devaluation and Adjustment: Exchange Rate Policy in Developing Countries。Cambridge, Massachusetts:MIT Press。  new window
26.Eichengreen, B.(2003)。Capital Flow and Crises。Cambridge, Massachusetts:MIT Press。  new window
27.Esquivel, G.、Larrain, F.(1998)。Explaining Currency Crises。Cambridge, Massachusetts:Harvard Institute for International Development。  new window
28.Fisher, S.(1998)。The IMF and the Asian Crisis。Los Angeles:Forum Funds Lecture at UCLA。  new window
29.Goldstein, M.(1998)。The Asian Financial Crisis: Causes, Cures, and Systemic Implications。Washington, DC:Institute for International Economics。  new window
30.Henderson, C.(1998)。Asia FaIIing?。New York:McGraw-Hill。  new window
31.Kindleberger, Charles Poor(1978)。Manias, Panics, and Crashes: A History of Financial Crises。Macmillan。  new window
32.Kindleberger, C. P.(1988)。The International Economic Order。Cambridge, Massachusetts:MIT Press。  new window
33.Krugman, P. R.、Obstfeld, M.(2006)。International Economics: Theory and Policy。New York:Addison Wesley。  new window
34.Mendez, J. S.(1998)。Problems Economics de Mexico。Mexico:McGraw-Hill。  new window
35.Mishkin, F. S.(1998)。Financial Consolidation: Dangers and Opportunity。  new window
36.Mishkin, F. S.(1998)。International Capital Movement, Financial Volatility and Financial Instability。  new window
37.Mishkin, F. S.(1999)。Lessons from the Asian Crisis。  new window
38.Mishkin, F. S.、Eakins, S. G.(2002)。Financial Markets and Institutions。New York:Addison-Wesley。  new window
39.Radelet, S.、Sachs, J.(1998)。The East Asian Financial Crisis。Cambridge, Massachusetts:Harvard Institute for International Development。  new window
40.Shiller, R.(1989)。Market Volatility。Cambridge, Massachusetts:MIT Press。  new window
41.Stiglitz, J.(1998)。Macroeconomic Dimensions of the Eastern Asian Crisis。London:Center for Economic Policy Research。  new window
42.Sweeney, J.(1997)。Down the Drain: Why the IMF Bailout in Asia is Wasteful and Won't Work。Washington, D. C.:Heritage Fundation。  new window
43.Williamson, J.、Mahar, M.(1998)。A Survey of Financial Liberalization。Princeton:Princeton University Press。  new window
44.World Bank(1998)。Global Economic Prospects and the Developing Countries。Washington, D. C.:World Bank。  new window
45.于宗先、徐滇慶(2001)。從危機走向復甦:東亞能否再度起飛。北京:社會科學文獻出版社。  延伸查詢new window
46.李榮謙(1997)。國際貨幣與金融。臺北:智勝文化公司。  延伸查詢new window
47.Mishkin, Frederic S.(2001)。The Economics of Money, Banking, and Financial Markets。New York:Addison Wesley Longman。  new window
48.World Bank(1993)。The East Asian Miracle: Economic Growth and Public Policy。Oxford University Press。  new window
49.Friedman, Milton、Schwartz, Anna Jacobson(1963)。A Monetary History of the United States, 1867-1960。Princeton University Press。  new window
50.朱愛群(2002)。危機管理:解讀災難謎咒。臺北:五南。  延伸查詢new window
51.葉秋南、麥朝成(1998)。貨幣銀行學。臺北:五南書局。  延伸查詢new window
52.吳玉山(20000000)。俄羅斯轉型1992-1999:一個政治經濟學的分析。臺北:五南。new window  延伸查詢new window
53.Spence, A. Michael(1974)。Market Signaling: Informational Transfer in Hiring and Related Screening Processes。Harvard University Press。  new window
單篇論文
1.Sachs, J.(1998)。The Deepening Crises in Asia。  new window
其他
1.王連常福(1998)。金融風暴與台灣產業發展。  延伸查詢new window
2.鍾琴(2002)。人民幣匯率的決定因素:大陸經濟基本面之分析,臺北:中華經濟研究院。  延伸查詢new window
3.International Monetary Fund(1998)。Financial Crises: Characteristics and Indicators of Vulnerability,http://www.imf.org/。  new window
4.Kmgman, P.(1997)。Bahtualism: Who Poisoned Asia’s Currency Markets?,http://web.mit.edu/kmgman/www/ baht.html。  new window
圖書論文
1.吳春光(2005)。近期普丁總統之民主與經濟改革及其對外政策。台俄民主鞏固與深化。臺北:政治大學俄羅斯研究所。  延伸查詢new window
2.邱正雄(1999)。我國因應亞洲金融危機的策略與檢討。亞太金融市場與政策論文集。臺北:亞太金融研究發展基金會。  延伸查詢new window
3.邱正雄(2000)。亞洲金融風暴因應之道及未來金融革新方向。金融危機後臺灣問題廠商及金融機構之探索。臺北:財團法人孫運璿學術基金會:臺灣大學經濟學系。  延伸查詢new window
4.劉憶如(1999)。亞洲經濟危機及其未來挑戰。亞洲共同課題的挑戰。臺北:政治大學國際關係研究中心。  延伸查詢new window
5.Bernanke, B.、James, H.(1991)。The Gold Standard, Deflation and Financial Crisis in the Great Depression: An International Comparison。Financial Market and Financial Crises。Chicago:University of Chicago Press。  new window
6.Bordo, M. D.(1986)。Financial Crises, Banking Crises, Stock Market Crashes and the Money Supply: Some International Evidences, 1870-1933。Financial Crises and the World Banking System。London:MacMillan。  new window
7.Calomiris, C. W.、Gorton, G.(1991)。The Origins of Banking Panics: Models, Facts, and Bank Regulation。Financial Markets and Financial Crises。Washington, D. C.:National Bureau of Economic Research。  new window
8.Kmgman, P.(1996)。Are Currency Crises Self-fulfilling?。NBER Macroeconomics Annual。  new window
9.Minsky, H. P.(1972)。Financial Stability Revisited: The Economics of Disaster。Reappraisal of the Federal Reserve Discount Mechanism。Washington, D. C.:Board of Governors of the Federal Reserve。  new window
10.Minsky, H. P.(1982)。Financial Instability Revisited: The Economics of Disaster。Inflation, Recession, and Economic Policy。New York:Wheatsheaf Books。  new window
11.Mishkin, F. S.(1991)。Asymmetric Information and Financial Crises: A Historical Perspective。Financial Markets and Financial Crises。Chicago:University of Chicago Press。  new window
12.Mishkin, F. S.(1997)。The Causes and Propagation of Financial Instability: Lessons for Policymakers。Maintaining Financial Stability in a Global Economy。Kansas:Federal Reserve Bank of Kansas City。  new window
13.Mishkin, F. S.(1998)。The Mexican Financial Crisis of 1994-1995: An Asymmetric Information Analysis。Financial Crisis Management in Regional Blocs。Norwell, Massachusetts:Kluwer Academic Publishers。  new window
14.Schwartz, A, J.(1986)。Real and Pseudo-Financial Crises。Financial Crises and the World Banking System。London:McMillan。  new window
 
 
 
 
第一頁 上一頁 下一頁 最後一頁 top
:::
無相關著作
 
QR Code
QRCODE