參考文獻 |
一、 中文部份
1.江丙坤 (1999), "當前經濟情勢及展望", 行政院經濟建設委員會.
2.沈中華 (2000), "由銀行基礎及市場基礎體系看當前各國銀行業的競爭與興衰", 金融研訓季刊, 96期, 1月, pp.19-29.
3.沈中華 (1999), "商業銀行因應直接金融的對策", 台北銀行月刊, 29卷, 2期, pp.2-10.
4.沈中華 (1999), "銀行危機形成原因探討, " 存款保險資訊季刊, 12卷, 4期, pp.88-102.
4.沈中華 (1999), "銀行危機形成原因探討, " 存款保險資訊季刊, 12卷, 4期, pp.88-102.
6.沈中華 (1998), "金融風暴後匯率制度與貨幣政策中間目標的抉擇",金融研訓季刊, 7月, pp.62-68.
7.沈中華 (1998a), "貨幣銀行學-全球的觀點", 新陸書局.
7.沈中華 (1998a), "貨幣銀行學-全球的觀點", 新陸書局.
9.李桐豪 (1999), "銀行與政府因應企業財務危機的對策", 金融研訓季刊, 4月, pp.68-72.
10.李昕鳴 (1991), "存款機構倒閉: 實證論述之探討", 存款保險資訊季刊,5卷, 2期, pp.28-51.
10.李昕鳴 (1991), "存款機構倒閉: 實證論述之探討", 存款保險資訊季刊,5卷, 2期, pp.28-51.
10.李昕鳴 (1991), "存款機構倒閉: 實證論述之探討", 存款保險資訊季刊,5卷, 2期, pp.28-51.
13.陳錦村 (1998), "競爭、往來關係與銀行授信行為之研究", Journal of Financial Studies, 5(3), pp.62-90.
14.陳戰勝 (1999), "全球金融危機對銀行業及金融監理之省思, " 存款保險資訊季刊, 13卷, 2期, pp.17-53.
15.陳戰勝 (1998), "考察美國聯邦存款保險制度暨參加美國芝加哥聯邦準備銀行第三十四屆年會報告", 存款保險資訊季刊, 12卷, 2期, pp.59-98.
15.陳戰勝 (1998), "考察美國聯邦存款保險制度暨參加美國芝加哥聯邦準備銀行第三十四屆年會報告", 存款保險資訊季刊, 12卷, 2期, pp.59-98.
17.陳之蓓 (1998), "亞洲金融危機之研究探討", 中央大學財管所碩士論文.
18.郭敏華 (1998), "東亞金融風暴之成因分析與啟示", 存款保險資訊季刊, 12卷, 1期, pp.119-136.
19.葉金江 (1998), "直接金融盛行與國內資金流向", 貨幣觀測與信用評等, 9月, pp.79-86.
20.辜婉芳(1983), "經濟發展中的金融結構之研究-理論部份", 台北銀行月刊, 14卷, 1期, pp.1-20.
21.辜婉芳 (1983), "金融體系之結構的實證分析", 台北銀行月刊, 14卷, 2期, pp.18-54.
21.辜婉芳 (1983), "金融體系之結構的實證分析", 台北銀行月刊, 14卷, 2期, pp.18-54.
23.傅偉明 (1987), "美國倒閉銀行特性之研究--應用多變量分析", 存款保險資訊季刊, 1卷, 2期, pp.23-35.
24.張捷昌 (1995), "金融自由化國際化與銀行經營策略革新之探討", 臺灣經濟金融月刊, 31卷, 4期, pp.1-8.
25.董景哲 (1997), "金融自由化之研究-中日兩國之比較研究", 中央大學財管所碩士論文.
26.蔡宗明 (1996), "亞洲六主要國家商業銀行經營績效之比較研究", 中央大學財管所碩士論文.
27.蔣福齡 (1993), "預測失敗銀行金融預警模型之淺議", 存款保險資訊季刊,5卷, 2期, pp.74-81.
28.歐興祥 譯 (1998), Steven Radelet and Jeffrey Sachs原著, 國際金融參考資料, 42輯, pp.13-19.
二、 英文部份
1.Barry Eichengreen, Andrew Rose and Charles Wyplosz (1996), "Contagious currency crises: first tests", Scand. J. of Economics 98(4), pp.463-484.
1.Barry Eichengreen, Andrew Rose and Charles Wyplosz (1996), "Contagious currency crises: first tests", Scand. J. of Economics 98(4), pp.463-484.
3.Caprio, Gerard and Daniela Klingebeil (1996), "Bank insolvencies: cross-country experience", Working Paper, World Bank, Washington, D.C..
4.Caprio, Gerard and Daniela Klingebeil (1995), "Dealing with bank insolvencies: Cross country experience", Working Paper, World Bank, Washington, D.C..
5.Cal-Johan Lindgren, Gillian Garcia, and Michael Saal (1996), "Bank Soundness and Macroeconomic Policy", International Monetary Fund , Washington, D.C..
5.Cal-Johan Lindgren, Gillian Garcia, and Michael Saal (1996), "Bank Soundness and Macroeconomic Policy", International Monetary Fund , Washington, D.C..
5.Cal-Johan Lindgren, Gillian Garcia, and Michael Saal (1996), "Bank Soundness and Macroeconomic Policy", International Monetary Fund , Washington, D.C..
5.Cal-Johan Lindgren, Gillian Garcia, and Michael Saal (1996), "Bank Soundness and Macroeconomic Policy", International Monetary Fund , Washington, D.C..
5.Cal-Johan Lindgren, Gillian Garcia, and Michael Saal (1996), "Bank Soundness and Macroeconomic Policy", International Monetary Fund , Washington, D.C..
10.DemirguC-Kunt, A. and E. Detragiache (1997), "The Determinants of Banking Crises: Evidence from Developed and Developing Countries", Working Paper 1828, World Bank, Washington, D.C..
11.De Juan, Aristobulo (1996), "The roots of banking crisis: microeconomic issues and regulation and supervision", in Hausmann and Rojas-Suarez(Eds.,1996a), pp.83-102.
12.Diamond, Douglas and Philip Dybvig (1983), "Bank runs, deposit insurance, and liquidily", Jounal of Development Economics, 19, pp.401-419.
13.Folkerts-Landau, David et al. (1995), "Effects of capital flows on the domestic financial sectors in APEC developing countries", in Khan and Reinhart.
14.Gavin, Michael and Ricardo Hausmann (1996), "The roots of banking crisis: the macroeconomic context", in Hausmann and Rojas-Suarez (Eds., 1996a), pp.27-63.
14.Gavin, Michael and Ricardo Hausmann (1996), "The roots of banking crisis: the macroeconomic context", in Hausmann and Rojas-Suarez (Eds., 1996a), pp.27-63.
16.Galbis, Vicente (1993), "High real interest rates under financial liberalization: Is there a problem?", International Monetary Fund Working Paper No. WP/93/7, January.
17.Gerard Caprio, Jr. (1998), "Banking on Crises: Expensive Lessons From Recent Financial Crises", Working Paper 1979, World Bank, Washington, D.C..
18.Goldsmith, Raymond W. (1966), The Determinants of Financial Structure, Paris: Development Centre of the Organization for Economic Cooperation.
19.Gorton, Gary (1988), "Banking Panics and Business Cycles", Oxford Economic Papers, vol40, pp.751-781.
20.Honohan, Patrick (1996), "Financial system failures in developing countries: diagnosis and prediction", Washington: International Monetary Fund, unpublished, June.
21.International Financial Statistics, Washington, D. C., International Monetary Fund, various issues.
22.Kane, Edward (1989), "The S&L Insurance Mess: How Did it Happen?", Urban Institute Press.
23.Kaminsky, Graciela and Carmen Reinhart (1998), "Financial Crises in Asia and Latin America: Then and Now",American Economic Review, 88(2),pp.444-448.
23.Kaminsky, Graciela and Carmen Reinhart (1998), "Financial Crises in Asia and Latin America: Then and Now",American Economic Review, 88(2),pp.444-448.
23.Kaminsky, Graciela and Carmen Reinhart (1998), "Financial Crises in Asia and Latin America: Then and Now",American Economic Review, 88(2),pp.444-448.
26.Mckinnon, R. I. (1973), Money and Capital in Economic Development. Washington, D. C., Brooking Institution.
27.Michael Pomerleano (1999), "The east Asia crisis and corporate finances", Working Paper, World Bank, Washington, D.C..
27.Michael Pomerleano (1999), "The east Asia crisis and corporate finances", Working Paper, World Bank, Washington, D.C..
29.Pill, Huw and Mahmood Pradhan (1995), "Financial indicators and financial change in Africa and Asia, IMF WP 23.
30.Shaw, E. (1973), Financial Deepening in Economic Development. New York, Oxford University Press.
31.Sheng, A. (1995), "Bank restructuring", Working Paper, World Bank, Washington, D.C.. |