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    Showing items 501-550 of 1008. (21 Page(s) Totally)
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    DateTitleAuthors
    2009-01 心靈語言 聶建中
    2009-01 Forecasting China Stock Markets Volatility via GARCH Models Under Skewed-GED Distribution 李命志; Liu, Hung-chun;
    2009-01 力霸集團財務危機預測--KMV、Z-SCORE與TCRI之比較 李沃牆; 余義賢
    2009 Z-score 模型與KMV模型預測違約風險能力的比較研究 Duan, Chang-wen; Hung, Ken
    2009 The Asymmetric Impact of Financial Intermediaries Development on Economic Growth Nieh, Chien-chung; Chang, Ya-kai;
    2009 Nonlinear Market Dynamics between Stock Returns and Trading Volume: Empirical Evidences from Asian Stock Markets Chuang, Wu-Jen; Ou-Yang, Liang-Yuh;
    2008-12-09 全民「蜈蚣精神」降低「國家風險」 聶建中
    2008-12 股價指數現貨與期貨之波動性對基差行為的影響 李命志; 劉洪鈞;
    2008-12 歐洲不動產投資信託市場報酬之關聯性研究 白東岳; 黃健銘;
    2008-12 國家風險與投資環境 聶建中
    2008-12 股市報酬率、波動性和分配之週末效果實證研究 黃健銘; 蘇榮斌;
    2008-12 大三通新世代 聶建中
    2008-12 法庭是美國開的,中國取而代之談何容易 聶建中
    2008-12 臺灣之銀行西進與兩岸金融合作 林蒼祥; 孫效孔
    2008-12 存活分析模型應用於房屋貸款違約預測績效評估 李沃牆; 周欣怡
    2008-11-05 What proportion of renewable energy supplies is needed to initially mitigate CO2 emissions in OECD member countries? Chiu, Chien-liang; Chang, Tin-huan
    2008-11 金融機構負責人涉及弊案應立即解任 聶建中
    2008-11 從全球金融海嘯看台灣金融政策得與失 聶建中
    2008-11 反「守」為「攻」的新國家理財觀—主權基金 聶建中
    2008-11 「限期消費券」的7個經濟學原理 聶建中
    2008-11 「主權基金」主動出擊 聶建中
    2008-11 「主權基金」五大考量 聶建中
    2008-11 Liquidity Provision of Futures Markets Nieh, Chien-chung; Chang, Matthew C.;
    2008-11 Value-at-risk in US stock indices with skewed generalized error distribution Lee, Ming-chih; Su, Jung-bin;
    2008-11 「後美國時代」的未來世界 聶建中
    2008-11 The Day-of-the-Week Effect on the Shape of the Heavy-Tailed Distribution Lee, Ming-chih; Hung, Jui-cheng
    2008-11 利率波動對國際股市報酬之不對稱性效果 蘇欣玫; 鄒易凭;
    2008-10-29 打造「亞太金融中心」7大建言 聶建中
    2008-10-15 「博而不士」與「臺灣矽谷」 聶建中
    2008-10 中國將對美經濟產生偌大影響力 聶建中
    2008-10 國際情勢與「亞太金融中心」 聶建中
    2008-10 「兩週政策」又「六大措施」,What's the next? 聶建中
    2008-10 Is Synergy Always Good? Clarifying the Effect of Innovation Capital and Customer Capital on Firm Performance in Two Contexts Yang, Suechin; Kang, Hsin-Hong
    2008-10 Maturity Effect under High and Low Volatility Regimes in Taiwan Stock Index Futures Chiu, Chien-liang; Hung, Jui-cheng
    2008-10 Price Discovery in the Option Markets: An Application of Put-Call Parity 謝文良
    2008-09 開發金併金鼎證的問題與解決之道 聶建中
    2008-09 擇時施策--政府勿帶人民進住「套房」 聶建中
    2008-09 National System of S&T Innovation: Dynamics of Manpower Building in a Catching-Up Economy Tu, Chiayu; Yang, Suechin
    2008-09 Ambition Versus Conscience, Does Corporate Social Responsibility Pay off? - The Application of Matching Methods 張元; 沈中華
    2008-09 從國際情勢看臺股前景 林蒼祥
    2008-09 企業的社會責任行為可以改善財務績效嗎?-以英國FTSE社會責任指數為例 張元; 沈中華
    2008-09 投資股市應注意外資走向 聶建中
    2008-09 兩岸金融開放與影響之評估 聶建中
    2008-08-01 Exchange rate uncertainty and corporate values: evidence from Taiwan 聶建中; Nieh, Chien-chung;
    2008-08 美國金融動盪再起對兩岸金融的影響 聶建中
    2008-07-01 Nonlinear short-run adjustments in US stock market returns Chang, Tsangyao; Yang, Ming-jing;
    2008-06-01 信用評等,公司違約與財務危機預測之探討 李沃牆; 朱竣平
    2008-06 群策群力、重返榮耀 聶建中
    2008-06 臺灣金融機構公司治理特性與違約風險之探討 黃健銘; 簡郁蓉;
    2008-06 Long Run Credit Risk Diversification: Empirical Decomposition of Corporate Bond Spreads 孫效孔; Sun, David S.;

    Showing items 501-550 of 1008. (21 Page(s) Totally)
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