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    日期題名作者
    1984-12 當前臺灣匯率制度的選擇:最適通貨區域理論方法之應用 滑明曙
    1985-11 不完全開放小國經濟的匯率制度的選擇 滑明曙
    1987-03 上市股票類別改變對股價的影響 劉聰衡
    1987-03 從銀行財務報表衡量銀行經營風險 王美惠; 滑明曙;
    1987-06 外幣持有管制之解除與匯率之動態調整 劉順傑; 陳昭南
    1989-03-25 解除外匯管制對新臺幣美元套利效率的影響 滑明曙
    1991 A conditional variance model for stock market returns in the Pacific-basin countries Norrbin, S.; Pan, Ming-shiun;
    1991 Pacific-basin countries stock return distributions : a conditional heterosk elasticity approach 邱忠榮; Chiou, Jong-rong
    1992 The international stock market integration : an examination of the U. S. and five Asian stock markets Pan, Ming-shiun; Chan, K. C.;
    1992-05-16 合作事業與公司企業財務決策的差異比較分析 劉聰衡
    1993 The impact of government capital adequacy regulation on bank portfolio selection 林景春; Lin, Ging-chung
    1993-08 Stock price return anomalies and sampling errors : a distribution free analysis 邱忠榮; Chiou, Jong-rong;
    1993-10 政府資本適足性規定對銀行投資組合的影響 林景春
    1993-10 信用交易條件改變對股價結構性變化之實證研究 徐靖志
    1993-10-16 政府資本適足性的規定對銀行投資組合的影響 林景春
    1993-10-16 信用交易條件改變對股價結構性變化之實證研究 徐靖志
    1994 風險基礎存保費率與資本適足性之關聯性研究 林景春
    1994 Evaluating changes in the distribution of income in the united states Bishop, John A.; 邱忠榮;
    1994-08 不確定資訊假說在台灣股市之實證研究 徐靖志
    1996-06-28 Changes in Taiwan income inequality: evaluating the effects of headship, race, and college education 邱忠榮; Chiou, Jong-rong;
    1996-10-09 The efficiency of index arbitrage : impacts from Standard & Poor's depositary receipts. Chu, Quentin C.; 謝文良;
    1997 無基準基金績效評估 林景春; 謝文良
    1997 Working wives and farnings distribution : an international prospective Bishop, John A.; 邱忠榮;
    1997-06 Tests of market timing and selectivity of mutual funds in Taiwan: a cointegration approach 林景春; 謝文良;
    1997-08-25 An empirical study of forecasting power of turnover rate and book to price for stock returns in Taiwan Sheu, Her-jiun; 顧廣平;
    1997-11 基金擇時與選股評估:台灣基金持股與市場指數之共積關係 林景春; 謝文良;
    1997-11-22 基金擇時與選股評估-台灣基金持股與市場指數之共積關係 林景春; 謝文良
    1998 Optimal foreign exchange spreads : a dealer's perspective Blenman, Lloyd P.; 陳達新;
    1998-03-31 財務金融政策 林蒼祥
    1998-04-27 亞洲金融風暴下, 企業財務應如何操作? 林蒼祥
    1998-05 Pricing fixed income securities with stochastic vclatilities 林蒼祥; Lin, William T.
    1998-05 A forward-looking dynamic hedge-robustness and application 盧陽正; 謝文良
    1998-05-11 全球化金融市場的安全問題 林蒼祥
    1998-05-28 Illiquidity or Bearish outlook : persistent backwardation of stocks index futures in Taiwan market 謝文良; Hsieh, Wen-liang;
    1998-11-21 淨價市場比、成交量週轉率與股票報酬之間的橫斷面關係-台灣股市之實證 許和鈞; 沈華榮;
    1998-11-21 金融風暴前後國際股市連動關係之研究 林景春; 聶建中
    1999 A nested VaR bootstrapping with fat tail correction for equity portfolio in Taiwan Lu, Yang-cheng; 林允永;
    1999 Dollar value of deafult risk, time to maturity, and firm size : a comparison of investment grade and junk bonds Chu, Quentin C.; 林允永;
    1999-05 The impact of stochastic volatility on the pricing of fixed income securities 林蒼祥; Lin, William T.
    1999-05-31 多變量線性迴歸模式篩選自變數的工具及其在財務實證研究上之應用 吳壽山; 顧廣平
    1999-06 金融風暴對國際股市關聯性影響之研究 林景春
    1999-07-07 Price discovery on the S&P 500 index markets : an analysis of spot index, index futures, and SPDRs Chu, Quentin C.; 謝文良;
    1999-07-08 An extended model of serial covariance bid-ask spreads 陳達新; Chen, Dar-hsin;
    1999-07-29 Estimation of technical and allocative inefficiencies using the fourier flexible cost frontiers for Taiwan's banking industry 黃台心; Huang, T. H.;
    1999-08 台電公司長期財務規劃系統之建立 林蒼祥
    1999-10 BOT investment strategy as a portfolio of real options 林蒼祥; Lin, William T.
    1999-10-06 Price discovery on the S&P 500 index markets 謝文良
    1999-12 Market Risk and Model Risk of Financial Institutions Writing Covered Warrants Chung, Huimin; Lee, Chin-Shen;
    1999-12-13 The effect of the new Asian financial crisis on exchange rate volatility, export, import and productivity among Asian countries 聶建中
    2000 Application of VaR bootstrapping with fat-tail corroections to the Asian emerring equity markets' Lu, Yang-cheng; 林允永;

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