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    日期題名作者
    2010-06 A Default Risk Model with Multi-Loan Lending Operations: A System of Integral Scale with Scope Tsai, Jeng-Yan; Lin, Jyh-Jiuan;
    2001-07 A flexible parametric GARCH model with an application to exchange rates 王凱立; Wang, Kai-li;
    1999-09 A flexible parametric GARCH model with an application to exchange rates 王凱立
    2009-05 A hybrid grey forecasting model for Taiwan's Hsinchu science industrial park 孫嘉祈=Sun, Chia Chi; Lin, G.T.R.
    2013-11-01 A Hybrid MCDM Method To Evaluate Supply-Chain Development Strategies Lin, Chih-Chieh; Lin, G.T.R.;
    2010-03 A manufacturer’s optimal quantity discount and return policy through game-theoretic approach again Chang, Shu-hui; Pao, Shih-heng
    2012-12 A Meta-frontier Approach for Comparing Bank Efficiency Differences between Indonesia, Malaysia and Thailand 劉一成; Liu, Yi-cheng;
    1998-07 A more general approach to modeling exchange rate volatility : A GARCH-EGB2 approach 王凱立; Wang, Kai-li
    1999-07 A New Parametric Distribution in GARCH Modeling : Evidence from the Stock Returns of Five East Asian Countries during the Financial Crises Periods 王凱立
    2011-01 A Non-linear Model of Causality between the Stock and Real Estate Markets of European Countries Su, Chi-wei; Chang, Hsu-ling;

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