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    Showing items 51-57 of 57. (6 Page(s) Totally)
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    DateTitleAuthors
    1993-07-01 金融選擇權:市場、評價與策略 董夢雲
    2007-02-06 銀行百科 蔡鎤銘;
    1989 預測理論與方法 謝明瑞
    2001-01-01 風險管理 李進生; 謝文良;
    2001 風險管理:風險值(VaR)理論與應用 李進生; 謝文良;
    2020-05 高維度資料之 Markowitz 平均數變異數模型最適化-平均加權投資組合為最佳策略? 張瑄凌
    2015-06 黃金價格、石油價格、匯率和消費支出的門檻關係 葉佳燕

    Showing items 51-57 of 57. (6 Page(s) Totally)
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