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盈餘管理與市場競爭對合作銀行風險承擔之關聯性研究
東吳經濟商學學報, 2012-09 (78), p.045-068
ISSN: 0259-3769 ;DOI: 10.29735/SJEB.201209.0002
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Title:
盈餘管理與市場競爭對合作銀行風險承擔之關聯性研究
Author:
劉文榮(Wen-Rong Liu)
;
張東生(Dong-Shang Chang)
;
葉俐廷(Li-Ting Yeh)
Subjects:
Bank Risk
;
Competition
;
Earnings Management
;
市場競爭
;
盈餘管理
;
銀行風險
Is Part Of:
東吳經濟商學學報, 2012-09 (78), p.045-068
Description:
本研究選取1994年至2009年間,跨越五國共計74家合作銀行,配合混合資料迴歸模型,試圖探討盈餘管理與市場競爭對合作銀行風險承擔之關聯性。實證發現合作銀行高階經理人若進行盈餘管理會提高銀行的破產風險。而且合作銀行的市占率越高,合作銀行將更加穩定。我們還發現盈餘管理與市場競爭對合作銀行風險存在負向關係,表示處於較低競爭市場之合作銀行,高階經理人越不會進行盈餘管理。原因在於處於較低競爭市場之合作銀行,已經有排擠掉其他商業銀行市場空間的傾向,因此高階經理人無須再進行盈餘管理來掩蓋相關資訊。
Publisher:
台灣: 東吳大學商學院
Language:
Chinese
Identifier:
ISSN: 0259-3769
DOI: 10.29735/SJEB.201209.0002
Source:
ProQuest Central
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