The Relationship between Corporate Governance and Default Risk in Taiwan’s Financial Institution

碩士 === 淡江大學 === 財務金融學系碩士在職專班 === 95 === The purpose of this paper is examined relationship between the variables of corporate governance and default risk. These industries include banking, insurance, securities, and life insurance. Firm’s default risk is estimated by KMV model. The regression models...

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Bibliographic Details
Main Authors: Yu-Jung Chien, 簡郁蓉
Other Authors: Chien-Liang Chiu
Format: Others
Language:zh-TW
Published: 2007
Online Access:http://ndltd.ncl.edu.tw/handle/67163821292827393058