Results 21-26 of 26.
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21. 資訊揭露評鑑與公司績效之關聯性
蕭馥萱; Hsiao, Fu-Hsuan , 2017 [Graduate Institute & Department of Banking and Finance] Thesis Characteristic-Adjusted Return;factor model;Information Disclosure and Transparency Evaluation System;Investment Performances;因子模式;投資績效;特性調整報酬;資訊揭露評鑑系統 本研究使用證
22. 信用評等變動對長期股票報酬之影響 : 以台灣上市櫃公司為例
鄧家任; Teng, Chia-Jen , 2017 [Graduate Institute & Department of Banking and Finance] Thesis 淡江大學財務金融學系碩士班 邱忠榮; Chiou, Jong-Rong 鄧家任 Teng, Chia-Jen 信用評等變動對長期股票報酬之影響 : 以台灣上市櫃公司為例 The effects of credit rating changes on long-term stock returns
23. 國際油價波動對台灣石化工業股價報酬之非線性影響
巫亞璇; Wu, Ya-Hsuan , 2015 [Graduate Institute & Department of Banking and Finance] Thesis 淡江大學財務金融學系碩士班 聶建中; 樓禎祺; Nieh, Chien-Chung; Lou, Chen-Chi 巫亞璇 Wu, Ya-Hsuan 國際油價波動對台灣石化工業股價報酬之非線性影響 Nonlinear effect of the international oil price
24. 發行可轉換公司債公司的資產規模對ROE之研究
黃盟凱; Huang, Meng-Kai , 2015 [Graduate Institute & Department of Banking and Finance] Thesis 淡江大學財務金融學系碩士在職專班 謝劍平; 聶建中 黃盟凱 Huang, Meng-Kai 發行可轉換公司債公司的資產規模對ROE之研究 A study of issuing the convertible bond to the ROE 可轉換公司債;股東權益報酬率;負債比率;縱橫門檻平滑移轉
25. 發行次順位金融債對銀行體質之影響
黃品勻; Huang, Pin-Yun , 2016 [Graduate Institute & Department of Banking and Finance] Thesis bank capital structure in Taiwan 銀行次順位金融債;發行;事件研究;新巴賽爾協定;三因子;累積平均異常報酬;Debt;Issue;Insider;Event Study;Abnormal Returns;Basel Ⅱ;three factor model
26. The empirical study of asymmetric relationships in the commodity and financial markets
卓訓方; Cho, Hsun-Fang , 2016 [Graduate Institute & Department of Banking and Finance] Thesis and financial markets 商品與金融市場非對稱關聯性之實證研究 不對稱門檻共整合模型;縱橫平滑移轉模型;蔓延效果;油價;糧食價格;匯率;股票報酬;財務比率;安倍經濟學;Asymmetric Threshold Co-integration Model;panel smooth transition