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兩篇關於公司績效之研究:公司治理與無形資產觀點
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Showing items 51-75 of 878. (36 Page(s) Totally)
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Date
Title
Authors
2016
Price discovery before and after Shanghai-Hong Kong stock connect
江冠毅
;
Chiang, Kuan-Yi
2005
Price discovery of futures markets in Taiwan ARDL-ECM approach
姜義展
;
Chiang I-chan
2008
Price discovery, volatility and central bank interventions in the foreign exchange markets
高崇瑋
;
Kao, Chung-wei
2010
Pricing guarantees linked to stochastic guaranteed rates of return
謝宗佑
;
Hsieh, Tsung-yu
2015
REITs之從眾行為 : 以美國市場為例
陳思恩
;
Chen, Sei-En
2006
Risk measuring and forecasting : the case of crude oil
鄭婉秀
;
Cheng, Wan-hsiu
2010
S&P500指數與歐元兌美元之關聯性研究
胡雲竫
;
Hu, Yun-cheng
2010
Share repurchase and controlling shareholder's personal interest
陳鴻崑
;
Chen, Hung-kun
2013
SolvencyⅡ新規定下保險公司清償能力對經營績效影響之研究
陣有展
;
Chen, Yu-Chan
2006
SPAN期貨結算系統之風險參數估計
林姸秀
;
Lin, Yen-hsiu
2009
The Study of Derivatives Pricing and Risk Management under Hidden Markov Model
王仁和
;
Wang, Ren-her
2014
A study of insurance behavior : macro- and micro- analysis
姜義展
;
Chiang, I-Chan
2015
A study on the behaviors of corporate social responsibility in Taiwanese financial institutions
廖丁輝
;
Liao, Ting-Huei
2016
A study on the nonlinear dynamic trading motivation between CSI 300 index and index futures
鄒易凭
;
Tzou, Yi-Pin
2013
Study on the optimal sovereign debt ratio : the effect of trade openness on the inflation
巫垂晃
;
Wu, Tsui-Huang
2006
The asymmetric impact of financial intermediaries development on the growth distribution
張雅凱
;
Chang, Ya-kai
2006
The determinants of capital structure from partial adjustment and nonlinear empirical evidence
劉文謙
;
Liu, Wen-chien
2010
The empirical research of asymmetry and forecast errors in the implied volatility index
林奇泰
;
Lin, Chi-tai
2008
The estimation and forecasting of value-at-risk for financial commodities
蘇榮斌
;
Su, Jung-bin
2010
The influence of NASDAQ stock exchange on Toronto stock index during the U.S. subprime mortgage crisis
曼克拉
;
Mendoza, Claudia
2010
The measurement of the option investors' trading information underlying the trading behavior, and the optimal static and dynamic trading strategy of the calendar spread in the S&P 500 index options market
張鼎煥
;
Chang, Ting-huan
2009
The research of reits return and volatility via alternative econometric approaches
白東岳
;
Pai, Tung-yueh
2010
The substitutability between equity reits and mortgage reits from risk management perspective
翁兆儀
;
Weng, Jau-i
2009
Three essays on efficiency of financial institutions in Taiwan : banking, non-life insurance and securities industries
廖振盛
;
Liao, Chang-sheng
2005
Three essays on innovation, intervention, and market efficiency
王友珊
;
Wang, Yu-shan
Showing items 51-75 of 878. (36 Page(s) Totally)
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