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題名:資產策略應該集中或多角化?臺灣壽險業實證分析
書刊名:僑光學報
作者:張簡永章
作者(外文):Chang-Chien, Iung-jang
出版日期:2020
卷期:43
頁次:頁115-128
主題關鍵詞:資產策略財務績效資產報酬率多角化困惑財務槓桿Asset strategyFinancial performanceReturn on assetDiversification puzzleFinancial leverage
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:25
  • 點閱點閱:2
期刊論文
1.Ma, Y. L.、Elango, B.(2008)。When Do International Operations Lead to Improved Performance? An Analysis of Property-Liability Insurers。Risk Management and Insurance Review,11(1),141-155。  new window
2.Hoyt, R. E.、Trieschmann, J. S.(1991)。Risk/Return Relationships for Life-Health Property-Liability, and Diversified Insurers。Journal of Risk and Insurance,58(2),322-330。  new window
3.陳怡凱、李揚、郭淑惠、李芳瑋(20180900)。控制股東對全球銀行多角化的剝奪效果。管理學報,35(3),267-306。new window  延伸查詢new window
4.Chen, N.-W.、Liang, H.-Y.、Yu, M.-T.(2018)。Asset Diversification and bank performance: Evidence from Three Asian Countries With a Dual Banking System。Pacific-Basin Finance Journal,52,40-53。  new window
5.Moudud-Ul-Huq, S.、Asharaf, B. N.、Gupta, A. D.(2018)。Does Bank Diversification Heterogeneously Affect Performance and Risk-Taking in ASEAN Emerging Economies?。Research in International Business and Finance,46,342-362。  new window
6.Park, Kwangmin、Jang, SooCheong(2011)。Effect of Diversification on Firm Performance: Application of the Entropy Measure。International Journal of Hospitality Management,31(1),218-228。  new window
7.Berger, Philip G.、Ofek, Eli(1995)。Diversification's effect on firm value。Journal of Financial Economics,37(1),39-65。  new window
8.Che, X.、Liebenberg, A. P.(2017)。Effects of Business Diversification on Asset Risk-taking: Evidence from the U.S. Property-liability Insurance Industry。Journal of Banking & Finance,77,122-136。  new window
9.Andres, P.、Fuente, G.、Velascoc, P.(2017)。Does It Really Matter How A Firm Diversifies? Assets-in-Place Diversification Versus Growth Options Diversification。Journal of Corporate Finance,43,316-339。  new window
10.Baranoff, E. G.、Sager, T. W.(2009)。Do Life Insurers' Asset Allocation Strategies Influence Performance within the Enterprise Risk Framework?。The Geneva Papers on Risk and Insurance - Issues and Practice,34,242-259。  new window
11.Chang, M. S.、Elyasiani, E.(2015)。Do Insurance Activities Enhance the Performance of Financial Services Holding Companies?。Applied Economics,47(33),3359-3576。  new window
12.Femandeza, J. L.、Ferreiro-Ferreiro, A. M.、Garcra-Rodriguez, J. A.(2018)。GPUParallel Implementation for Asset-Liability Management in Insurance Companies。Journal of Computational Science,24,232-254。  new window
13.Francis, B. B.、Hasan, I.、Kiilliic, A. M.、Zhou, M.(2018)。Should Banks Diversify or Focus? know Thyself: The Role of Abilities。Economic Systems,42,106-118。  new window
14.Sawadogo, R.、Guerineau, S.、Ouedraogo, I. M.(2018)。Life Insurance Development and Economic Growth: Evidence from Developing Countries。Journal of Economic Development,43(2),1-28。  new window
15.Scott, M.(2014)。Asset diversity。Smart Business Akron/Canton,24(5),68-68。  new window
16.Yang, H. F.、Liu, C. L.、Chou, R. Y.(2019)。Bank Diversification and Systemic Risk。The Quarterly Review of Economics and Finance,77,311-326。  new window
17.王儷玲、彭金隆、張義宏(20061200)。我國壽險業銀行保險業務參與度與經營效率分析。臺大管理論叢,17(1),59-90。new window  延伸查詢new window
18.Berger, A. N.、Cummins, J. D.、Weiss, M. A.、Zi, H.(2000)。Conglomeration versus strategic focus: Evidence from the insurance industry。Journal of Financial Intermediation,9(4),323-362。  new window
19.Colquitt, L. L.、Hoyt, R. E.(1997)。Determinants of Corporate Hedging Behavior: Evidence from the Life Insurance Industry。Journal of Risk and Insurance,64(4),649-671。  new window
20.Elango, B. Y.、Ma, Yu-Luen、Pope, N.(2008)。An Investigation into the Diversification: Performance in the U.S. Property-Liability Insurance Industry。Journal of Risk and Insurance,75(3),567-591。  new window
21.Fama, Eugene F.(1985)。What's Different about Banks?。Journal of Monetary Economics,15(1),29-39。  new window
22.Geringer, J. Michael、Beamish, Paul W.、da Costa, Richard C.(1989)。Diversification strategy and internationalization: Implications for MNE performance。Strategic Management Journal,10(2),109-119。  new window
23.Liebenberg, A. P.、Sommer, D. W.(2008)。Effects of corporate diversification: Evidence from the property-liability insurance industry。The Journal of Risk and Insurance,75(4),893-919。  new window
24.Sommer, David W.(1996)。The Impact of Firm Risk on Property-liability Insurance Prices。Journal of Risk and Insurance,63(3),501-514。  new window
研究報告
1.黃雅文、張士傑、詹淑卿、楊尚穎(2011)。保險業資產配置之決定及其影響。  延伸查詢new window
圖書
1.Kennedy, P.(2000)。A Guide to Econometrics。Massachusetts:Blackwell。  new window
2.何宗武(2014)。Eviews高手:財經計量應用手冊。臺北:鼎茂圖書。  延伸查詢new window
3.Greene, William H.(2003)。Econometric Analysis。Prentice-Hall, Inc.。  new window
圖書論文
1.Meador, J. W.、Ryan, H. E.、Schellhom, C. D.(2000)。Product Focus versus diversification: Estimates of X-EfRciency for the U.S. Life Insurance Industry。Performance of Financial Institutions: Efficiency, Innovation, Regulation。New York:Cambridge University Press。  new window
 
 
 
 
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