English  |  正體中文  |  简体中文  |  Items with full text/Total items : 56733/90513 (63%)
Visitors : 12077636      Online Users : 42
RC Version 7.0 © Powered By DSPACE, MIT. Enhanced by NTU Library & TKU Library IR team.
Scope Tips:
  • please add "double quotation mark" for query phrases to get precise results
  • please goto advance search for comprehansive author search
  • Adv. Search
    HomeLoginUploadHelpAboutAdminister Goto mobile version
    Please use this identifier to cite or link to this item: http://tkuir.lib.tku.edu.tw:8080/dspace/handle/987654321/20006

    Title: 臺灣證券市場報酬率與波動關聯性之探討--以主要產業類股與三商銀為例
    Authors: 倪衍森;張財旺
    Contributors: 淡江大學經營決策學系
    Keywords: 單根檢定;Granger因果關係 VAR;GARCH;Volatility
    Date: 2001-03
    Issue Date: 2013-04-11 14:30:38 (UTC+8)
    Publisher: 臺北市:臺灣銀行
    Relation: 臺灣銀行季刊 52(1),頁54-74
    Appears in Collections:[Department of Management Sciences] Journal Article

    Files in This Item:

    File SizeFormat

    All items in 機構典藏 are protected by copyright, with all rights reserved.

    DSpace Software Copyright © 2002-2004  MIT &  Hewlett-Packard  /   Enhanced by   NTU Library & TKU Library IR teams. Copyright ©   - Feedback