淡江大學機構典藏:Item 987654321/4898
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    Please use this identifier to cite or link to this item: https://tkuir.lib.tku.edu.tw/dspace/handle/987654321/4898


    Title: 估計期望報酬與風險之重要因子-以台灣股市為例
    Other Titles: Important Factors of Estimating Expected Return and Risk-The Taiwan Evidence
    Authors: 顧廣平;林蒼祥
    Contributors: 淡江大學財務金融學系
    Keywords: 因素模式;期望報酬;風險;Factor model;Expected return;Risk
    Date: 2000
    Issue Date: 2009-03-16 11:21:22 (UTC+8)
    Relation: 估計期望報酬與風險之重要因子-以台灣股市為例
    Appears in Collections:[Graduate Institute & Department of Banking and Finance] Research Paper

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