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    Showing items 281-290 of 773. (78 Page(s) Totally)
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    DateTitleAuthors
    2010 The Relationship between Vietnamese Stock Market and its Major Trading Partners – TECM with Bivariate Asymmetric GARCH Model Chang, Hsu-ling; Su, Chi-wei
    2010 The Relationship between Real Estate and Stock Markets in China: Evidence based on Nonlinear Model Liu, Yu-shao; Su, Chi-wei
    2010 The Lending-Deposit Rate Relationship in Eastern European Countries: Evidence from the Rank Test for Non-linear Cointegration Chang, Hsu-ling; Su, Chi-wei
    2010 Asymmetric Adjustment in the Lending-Deposit Rate Spread: Evidence from Eastern European Countries Su, Chi-Wei; Chang, Hsu-Ling
    2009-12-01 The effect of agricultural price on return to factor and output under a model with an informal sector 鮑世亨; Chang, S.H.
    2009-12 銀行家數激增是台灣不良債權禍首—長期追蹤資料分析實證 劉一成
    2009-12 德國郵政改革及民營化之啟示 劉一成; 林冠宇
    2009-12 An Empirical Ranking of International Financial Centers in the Asia-Pacific Region:Is Shanghai Challenging Hong Kong’s Position? 劉一成; Wen Yang
    2009-12 Bank Interest Margins under Information Asymmetry and Centralized vs. Decentralized Loan Rate Decisions:A Two-Stage Option Pricing Model Lin, Jyh-horng; Lin, Jyh-Jiuan;
    2009-12 Optimal Bank Interest Margin and Shareholder Interest Conflicts under CEO Overconfidence: A Constrained Option-Pricing Model Lin, Jyh-Horng; Lii, Peirchyi;

    Showing items 281-290 of 773. (78 Page(s) Totally)
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