题名

台灣銀行業公司治理機制與風險承擔行為之關係

并列篇名

The Relationship between Corporate Governance and Risk-Taking Behavior in Taiwanese Banking Industry

DOI

10.30003/JRM.200311.0009

作者

陳曉蓉(Hsiao-Jung Chen)

关键词

公司治理 ; 道德危險 ; 部份綜合銀行體系 ; Panel Data門檻迴歸模型 ; Corporate Governance ; Moral Hazard ; Partial Universal Banking System ; Panel Data Threshold Model

期刊名称

風險管理學報

卷期/出版年月

5卷3期(2003 / 11 / 01)

页次

363 - 391

内容语文

繁體中文

中文摘要

本文主要是探討1996年至2001年台灣銀行業衰退期間,影響銀行風險承擔之因素,並調查在「部分綜合銀行體系」下,公司治理機制對於銀行信用風險承擔行為之影響。本文應用Panel Data門檻迴歸模型,以「淨非利息收入佔營業收入之比率」為門檻變數,證明台灣銀行業具備「部份綜合銀行體系」的特性,且公司治理機制對於銀行的信用風險與整體風險有顯著影響,特別是以傳統存放款業務為重的美式銀行,其經理人持股比率與銀行信用風險間成一倒U型關係,符合「公司控制」假說;而在綜合銀行業務為主的德式銀行中,經理人持股比率與銀行信用風險間卻成一U型關係,支持「道德危險」假說。

英文摘要

This study explores the determinants of bank risk-taking for 1996 to 2001 and investigates the relationship between corporate governance and bank credit risk taking behavior in a partial universal banking system, taking Taiwan as our example. This paper employs the recently developed method of the panel data threshold regression method to estimate the determinant function of the bank risk-taking model. It is found that the corporate governance plays an important role in explaining the recent behavior of the banking industry. We show that the relation between managerial ownership and credit risk taking behavior is inverse U-shape in the commercial banking system, consistent with the corporate control hypothesis, unlike the relation is U-shape in the universal banking system, supports moral-hazard hypothesis.

主题分类 社會科學 > 經濟學
社會科學 > 管理學
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被引用次数
  1. 陳錦村、沈中華、吳孟紋(2005)。更早期預警模型台灣銀行道德指標的建立及影響。管理學報,22(1),1-28。
  2. 陳寧馨、陳信文、丁碧慧(2007)。管理階層持股比率與台灣銀行業風險承擔行爲之門檻效果關係研究。管理實務與理論研究,1(4),26-48。
  3. 陳曉蓉(2010)。台灣銀行業風險承擔態度之調查:展望理論之應用。財務金融學刊,18(4),111-149。
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  5. 簡郁蓉、鄭婉秀、黃健銘(2008)。台灣金融機構公司治理特性與違約風險之探討。會計與公司治理,5(1),33-53。
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