1 |
107/2 |
國企系 林志鴻 教授於
期刊論文
發佈
Optimal Bank Interest Margin Under Capital Regulation: Regret Aversion and Shadow Banking
,
[107-2]
關鍵字:Regret;shadow banking;bank interest margin;capital regulation
|
2 |
107/2 |
國企系 林志鴻 教授於
期刊論文
發佈
Cross-Border Lending, Government Capital Injection, and Bank Performance
,
[107-2]
關鍵字:cross-border lending;bank interest margin;government capital injection;barrier option
|
3 |
107/1 |
國企系 林志鴻 教授於
期刊論文
發佈
Political connections, government capital injection, and deposit insurance premium
,
[107-1]
關鍵字:Political connection;Bank interest margin;Deposit insurance premium
|
4 |
106/2 |
國企系 林志鴻 教授於
期刊論文
發佈
Bank interest margin, multiple shadow banking activities, and capital regulation
,
[106-2]
關鍵字:wealth management products;entrusted loans;bank interest margin;capital regulation
|
5 |
103/2 |
國企系 蔡政言 教授於
期刊論文
發佈
How does equity capital cost affect bank performance during a financial crisis?
,
[103-2]
關鍵字:bank interest margin;equity capital cost;barrier;utility maximization
|
6 |
104/1 |
會計系 林谷峻 教授於
期刊論文
發佈
A call option framework for loan swap hedging under government capital injection
,
[104-1]
關鍵字:Hedging;Bank interest margin;Bank equity risk;Government capital injection;Efficiency
|
7 |
104/1 |
蘭陽主任室 林志鴻 教授於
期刊論文
發佈
Shadow-banking entrusted loan management, deposit insurance premium, and capital regulation
,
[104-1]
關鍵字:Shadow banking;Entrusted loans;Bank interest margin;Capital regulation
|
8 |
104/1 |
商管認證辦公室 林谷峻 教授於
期刊論文
發佈
Technology choice and bank performance with government capital injection under deposit insurance fund protection
,
[104-1]
關鍵字:Government capital injection;Deposit insurance fund protection;Human resource investment;Bank interest margin;Default risk
|
9 |
103/1 |
會計系 林谷峻 教授於
期刊論文
發佈
A Barrier Option Utility Framework for Bank Interest Margin under Government Bailout
,
[103-1]
關鍵字:barrier option; distressed asset purchases; bank interest margin; default risk
|
10 |
103/1 |
國企系 蔡政言 教授於
期刊論文
發佈
Government bailouts and default risks of a duopoly: strong bank vs. weak bank
,
[103-1]
關鍵字:bank interest margin;default risk;distressed asset purchases;direct equity injections;duopoly;G21;G28
|
11 |
102/1 |
國企系 蔡政言 教授於
期刊論文
發佈
Bank interest margin management based on a path-dependent Cobb–Douglas utility framework
,
[102-1]
關鍵字:Bank interest margin;Cobb–Douglas utility function;Path dependency;Substitution elasticity
|
12 |
102/2 |
國企系 蔡政言 教授於
期刊論文
發佈
Bank equity risk under bailout programs of loan guarantee and/or equity capital injection
,
[102-2]
關鍵字:Bank interest margin;Equity risk;Loan guarantee;Direct equity capital injection
|
13 |
101/1 |
國企系 蔡政言 教授於
期刊論文
發佈
A barrier option framework for optimal bank interest margin with vendor financing
,
[101-1]
關鍵字:bank interest margin;vendor financing;barrier option
|
14 |
101/2 |
國企系 林志鴻 教授於
期刊論文
發佈
A barrier option framework for bank interest margin management under anticipatory regret aversion
,
[101-2]
關鍵字:Bank interest margin; Regret aversion;Barrier option; Bank equity valuation
|
15 |
101/1 |
國企系 林志鴻 教授於
期刊論文
發佈
Option-Based Modelling of Technology Choices and Bank Performance
,
[101-1]
關鍵字:Technology; Bank interest margin; Equity risk
|
16 |
101/2 |
國企系 林志鴻 教授於
期刊論文
發佈
Accrual Effect on Optimal Bank Interest Margin and Default Risk in Equity Return
,
[101-2]
關鍵字:Accounting accrual; Bank interest margin; Equity quality; Default risk
|
17 |
101/1 |
國企系 蔡政言 教授於
期刊論文
發佈
Bank Interest Margin and Default Risk under the Capped Schedule for Government Capital Injections in the Basel III Capital Adequacy Accord
,
[101-1]
關鍵字:Basel III;Government capital injection;Bank interest margin;Failure probability
|
18 |
101/2 |
國企系 蔡政言 教授於
期刊論文
發佈
Optimal bank interest margins under capital regulation in a call-option utility framework
,
[101-2]
關鍵字:Call-option utility maximization;Call-option equity maximization;Bank interest margins;Capital regulation
|
19 |
101/1 |
國企系 蔡政言 教授於
期刊論文
發佈
Optimal Bank Interest Margin under Capital Regulation: Equity Return Maximization V.S. Equity Risk Minimization
,
[101-1]
關鍵字:Bank interest margin;capital regulation;equity return maximization;equity risk minimization
|
20 |
101/1 |
國企系 蔡政言 教授於
期刊論文
發佈
Bank Capital Regulation in a Cap Option Framework
,
[101-1]
關鍵字:Cap options;Capital regulation;Bank interest margin;Equity volatility;Default risk
|
21 |
100/1 |
國企系 林志鴻 教授於
期刊論文
發佈
The Gramm–Leach–Bliley Act: optimal interest margin effects of commercial bank expansion into insurance underwriting
,
[100-1]
關鍵字:insurance underwriting; bank interest margin; Gramm–Leach–Bliley Act
|
22 |
98/2 |
統計系 林志娟 教授於
期刊論文
發佈
Modeling Put-Option Margin and Default Risk When Labor Has a Voice in Bank Governance Mechanism
,
[98-2]
關鍵字:Bank Interest Margin; Default Risk; Labor Voice; Put Option
|
23 |
98/2 |
國企系 蔡政言 教授於
期刊論文
發佈
Modeling Put-Option Margin and Default Risk When Labor Has a Voice in Bank Governance Mechanism
,
[98-2]
關鍵字:Bank Interest Margin; Default Risk; Labor Voice; Put Option
|
24 |
99/1 |
統計系 林志娟 教授於
期刊論文
發佈
Modeling Bank Interest Margin and Loan Quality under the Troubled Asset Relief Program: An Option-Pricing Approach
,
[99-1]
關鍵字:Troubled Asset Relief Program; Bank Interest Margin; Loan Quality
|
25 |
99/1 |
國企系 林志鴻 教授於
期刊論文
發佈
Modeling Bank Interest Margin and Loan Quality under the Troubled Asset Relief Program: An Option-Pricing Approach
,
[99-1]
關鍵字:Troubled Asset Relief Program; Bank Interest Margin; Loan Quality
|
26 |
99/2 |
國企系 林志鴻 教授於
期刊論文
發佈
Optimal Bank Interest Margin with Synergy Banking under Capital Regulation and Deposit Insurance: A Swaption Approach
,
[99-2]
關鍵字:Bank interest margin;Swaption;Capital-to-deposits ratio;Deposit insurance;Retail banking
|
27 |
96/1 |
國企系 林志鴻 教授於
期刊論文
發佈
Governance Mechanisms and Bank Interest Margins: An Examination of Loan Commitment with External Financing
,
[96-1]
關鍵字:Internal governance;external governance;bank interest margin
|
28 |
98/1 |
國企系 林志鴻 教授於
期刊論文
發佈
A Two-Stage Call-Put-Pricing Frameworkfor a "Bad Bank" Solution and Bank Profitability
,
[98-1]
關鍵字:Bank Interest Margin;Troubled Loans;Capitalization;Call Option;Put Option
|
29 |
98/2 |
國企系 林志鴻 教授於
期刊論文
發佈
A Structure-Break Option Framework for Bank Margin Valuation When Foreign-Denominated Loans Squeezing a Country
,
[98-2]
關鍵字:Bank Interest Margin; Retail Banking; Exchange Rate; Structural Change
|
30 |
98/2 |
國企系 蔡政言 教授於
期刊論文
發佈
A Default Risk Model with Multi-Loan Lending Operations: A System of Integral Scale with Scope
,
[98-2]
關鍵字:Bank Interest Margin;Default Risk;Scale;Scope
|