Portfolio Approach and/or Firm Approach? Remarks on Futures of Strategic Bank Management | |
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學年 | 93 |
學期 | 1 |
出版(發表)日期 | 2004-11-01 |
作品名稱 | Portfolio Approach and/or Firm Approach? Remarks on Futures of Strategic Bank Management |
作品名稱(其他語言) | |
著者 | Lin, Jyh-horng; Pao, Shih-heng |
單位 | 淡江大學國際企業學系 |
出版者 | 臺北縣:淡江大學未來學研究所 |
著錄名稱、卷期、頁數 | Journal of Futures Studies=未來研究叢刊 9(2), pp.43-54 |
摘要 | Continuing technological progress will both foster international economic integration and remove some of the traditional obstacles (such as time and distance) to global bank. A predictable prediction about bank management is that the focus has been shifting to noncooperative game theoretic models of strategic behavior. Currently, most theories of bank management are based on the Markowita-Tobin portfolio-theoretic approach, which omits several crucial aspects of bank behavior. This paper presents an alterative: a framework of strategic bank management that integrates the risk considerations of the portfolio-theoretic approach with the market conditions of the firm-theoretic approach. Our framework provides a conceptual approach for analyzing bank liberalization environment. |
關鍵字 | |
語言 | en |
ISSN | 1027-6084 |
期刊性質 | 國內 |
收錄於 | |
產學合作 | |
通訊作者 | |
審稿制度 | |
國別 | TWN |
公開徵稿 | |
出版型式 | 紙本 |
相關連結 |
機構典藏連結 ( http://tkuir.lib.tku.edu.tw:8080/dspace/handle/987654321/24395 ) |