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    Showing items 61-70 of 879. (88 Page(s) Totally)
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    DateTitleAuthors
    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

    Showing items 61-70 of 879. (88 Page(s) Totally)
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