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  • 學位論文

銀行財富管理績效在分行存款業務量差異下之非線性影響探討-T銀行為例

Nonlinear Study on the Performance of Bank Wealth Management under Differences of Branch’s Deposit – An Example of T Bank

指導教授 : 聶建中 謝劍平
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參考文獻


劉永欽 (2009),銀行財富管理業務之作業風險-從連動債券信用危機觀察,Academia Economic Papers,第37期,頁137-171
Amenc, N., F. Goltz and D. Schröder, (2009), "Private Bankers on Private Banking: Financial Risks and Asset/Liability Management," The Journal of Wealth Management, 12(3), 39-50.
Amenc, N., L. Martellini, V. Milhau and V. Ziemann, (2009), "Asset-Liability Management in Private Wealth Management, "Journal of Portfolio Management, 36(1), 100-120.
Andrews, D. W. K. and W. Ploberger, 1994, “Optimal Tests when S Nuisance Parameter is Present Only under the Alternative,” Econometrica, 62, 1383–1414.
Ang, S., (2010), "A Qualitative Study on the Challenges of Private Banking in Asia," The Journal of Wealth Management, 12(4), 68-77.

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