

237
臺大管理論叢
第
28
卷第
2
期
References
Agoraki, M. E. K., Delis, M. D., and Pasiouras, F. 2011. Regulations, competition and
bank risk-taking in transition countries.
Journal of Financial Stability
, 7 (1):
38-48.
Amihud, Y., and Lev, B. 1981. Risk reduction as a managerial motive for conglomerate
mergers.
The Bell Journal of Economics
, 12 (2): 605-617.
Angbazo, L. 1997. Commercial bank net interest margins, default risk, interest-rate risk,
and off-balance sheet banking.
Journal of Banking and Finance
, 21 (1): 55-87.
Asif, S., and Sargeant, A. 2000. Modelling internal communications in the financial
services sector.
European Journal of Marketing
, 34 (3-4): 299-318.
Basel Committee on Banking Supervision (BCBS). 2001.
Overview of the New Basel
Capital Accord
. Basel, Switzerland: Consultative Document BCBS.
. 2006.
International Convergence of Capital Measurement and Capital
Standards
. Basel, Switzerland: Bank for International Settlements.
Barakat, A., Chernobai, A., and Wahrenburg, M. 2014. Information asymmetry around
operational risk announcements.
Journal of Banking & Finance
, 48 (1): 152-
179.
Bentes, A. V., Carneiro, J., da Silva, J. F., and Kimura, H. 2012. Multidimensional
assessment of organizational performance: Integrating BSC and AHP.
Journal
of Business Research
, 65 (12): 1790-1799.
Boyd, J. H., and De Nicoló, G. 2005. The theory of bank risk taking and competition
revisited.
Journal of Finance
, 60 (3): 1329-1343.
Buston, C. S. 2016. Active risk management and banking stability.
Journal of Banking and
Finance
, 72 (S): S203-S215.
Cai, J., Liu, X., Xiao, Z., and Liu, J. 2009. Improving supply chain performance
managemen t : A s y s t ema t i c app r oa ch t o ana l yz i ng i t e r a t i ve KP I
accomplishment.
Decision Support Systems
, 46 (2): 512-521.
Calandro Jr, J., and Lane, S. 2006. An introduction to the enterprise risk scorecard.
Measuring Business Excellence
, 10 (3): 31-40.
Chavez-Demoulin, V., Embrechts, P., and Nešlehová, J. 2006. Quantitative models for
operational risk: Extremes, dependence and aggregation.
Journal of Banking
and Finance
, 30 (10): 2635-2658.
Chen, F. Y. 2015. Risk capital and foreign indirect investment: Theory and evidence from
banks in Asia.
NTU Management Review
, 25 (2): 53-82.