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    Showing items 226-250 of 1096. (44 Page(s) Totally)
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    DateTitleAuthors
    2018-01-03 恐懼減緩處分效果;Investor Fear and the Mitigation of Disposition Effect 王乃毅; Wang, Nai-Yi
    2017-11-22 投資人的有限關注度是否導致外匯市場的動能效果?;Does Limited Attention Drive Momentum effect in FX Markets? 邱健嘉; Chiou, Jian-Jia
    2017-09-21 股權結構與公司績效:來自東南亞國家的實證;Ownership and Firm Performance: Evidence from Southeast Countries 張欣梅; Leo, Xin-Mei
    2017-08-22 投資者情緒與期貨價格關聯性;Sentiment Measures in the Futures Markets 張芸菁; Chang, Yun-Ching
    2017-07-28 隨機優越動能策略-以台灣股票市場為例;Construct stochastic dominance momentum strategy 趙國安; Chao, Guo-An
    2017-07-18 併購如何創造綜效──以台灣與韓國為例;Do Merge and Acquisition Really Creates Value: Evidence from Taiwan and South Korea 吳承桓; Wu, Cheng-Huan
    2017-07-14 企業社會責任與企業持有現金之價值;Corporate Social Responsibility and the Value of Corporate Cash Holdings 曾詩綺; Zeng, Shih-Ci
    2017-07-11 意 見 分 歧 與 資 產 定 價 再 探;A Resolution of the Differences of Opinion Puzzle 謝佳勲; Hsieh, Chia-Hsun
    2017-07-11 選擇權與股票交易量之比例的資訊 隱含量:以股票回購為例;Informational Content of the Relative Trading Activity in Options and Stock on Repurchase Announcement Return 陳宇軒; Chen, Yu-Hsuan
    2017-07-05 反向抵押貸款採用隨機房價模型之分析;The Application of Stochastic Models in Reserve Mortgage Analysis 呂敏嘉; Lu, Ming-Chia
    2017-07-05 期貨未平倉量如何預測現貨報酬和波動度?;How Does Futures Open Interest Predict Spot Return and Volatility? 方裕翔; Hsiang, Fang Yu
    2017-07-04 以Heston model隨機波動度模型評價結構型商品與目標可贖回遠期契約;Using Heston Model to Evaluate Equity Linked Note and Target Redemption Forward 夏漢權; Hsia, Han-Chiuan
    2017-07-04 低波動異常現象及其預測能力;Low Volatility Anomaly and Its Predictability 吳冠緯; Wu, Guan-Wei
    2017-07-04 運用主成份因子計算利率期限結構風險值之探討;A Study of Using Principal Components Analysis to Calculate the VaR about the Term Structure of Interest Rates 黃子玲; Huang, Tzu-Ling
    2017-06-30 跨國股價指數避險比例之研究;Hedge Ratio for Multinational Stock Index 陳禹蓉; Chen, Yu-Jung
    2017-06-29 投資人關注與動能效應;investor attention and momentum 陳柏彰; Chen, Bo-Zhang
    2017-06-28 不同市場狀態下新聞情緒的預測能力:以台灣五十指數為例;Predictability of News Sentiment under Different Market Conditions:Evidence from the Taiwan 50 Index 王彥鈞; Wang, Yen-Chun
    2017-06-28 中國物聯網企業在境內上市與在美國上市的對比;Market Valuation of Chinese IOT Enterprises: Listing in U.S. Versus Listing in China 宋雅雯; Yawen, Song
    2017-06-28 融資流動性風險與銀行風險承擔及經營績效;Funding liquidity risk, bank risk taking and performance 王品涵; Wang, Pin-Han
    2017-06-26 台灣加權指數價格之隱含機率分配與風險值之間的關係;Implied Stock Index Probability Distribution and Value at Risk 路姿庭; Lu, Tsz-Ting
    2017-06-23 經理人文化認同形成對風險承擔行為之影響 -以S&P500指數上市公司為例;The Impact of Chief Executive Officer′s (CEO’s) Cultural Identity on Corporate Risk-taking: A Case Study of S & P500 Index Listed Companies 許銘真; Hsu, Ming-Chen
    2017-06-23 Solvency II 量化分析──以反向抵押貸款為例;Quantitative Analysis of Solvency II - The Example of Home Reverse Mortgage 邱煜修; Chiu, Yu-Hsiu
    2017-06-22 CEO文化認同與債務期限選擇;CEO Cultural Identity and Debt Maturity 張賽; Zhang, Sai
    2017-05-08 106年財務金融研究所(乙組)-統計-入學考試題 財務金融研究所乙組
    2017-05-08 106年財務金融研究所(乙組)-微積分-入學考試題 財務金融研究所乙組

    Showing items 226-250 of 1096. (44 Page(s) Totally)
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