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    Showing items 1276-1300 of 2571. (103 Page(s) Totally)
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    DateTitleAuthors
    2009-03-26 相信自己,Yes I can 聶建中
    2009-03-01 金融海嘯與金融脆弱性 ─兼論開放經濟下金融機構的脆弱性 蔡鎤銘; 台北市內湖區文德路213號5樓
    2009-03 金融海嘯下「家電下鄉」政策的影響與省思 聶建中
    2009-03 「冷靜+智慧」的困境整治良方 聶建中
    2009-03 公益佈施賺進「人情存摺」 聶建中
    2009-03 「不按牌理出牌」開創新契機 聶建中
    2009-03 股市基差訊息對現貨報酬之影響:厚尾模型的應用 黃健銘; 張惠雅
    2009-03 The role of SGT distribution in Value-at-Risk estimation: evidence from the WTI crude oil market Liu, Hung-chunn; Lee, Ming-Chih;
    2009-02-15 簽CECA避免台灣邊緣化 聶建中
    2009-02-13 作好「時間管理」,成就、美滿屬於你 聶建中
    2009-02 樂觀是天使、煩憂是撒旦 聶建中
    2009-02 適當場面話,何樂而不為 聶建中
    2009-02 「100階梯」哲學-積極中的知足 聶建中
    2009-02 Risk Management of Automobile Insurance Market in Taiwan 李沃牆; Lee, Wo-chiang
    2009-01-21 丟的藝術 聶建中
    2009-01-01 Structural Changes in Foreign Investors' Trading Behavior and the Corresponding Impact on Taiwan's Stock Market Chiu, Chien-liang; Lin, Cho-min;
    2009-01 「柏拉圖原理」的80/20生命法則 聶建中
    2009-01 習慣養成、環境朔造 聶建中
    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 The Study of Derivatives Pricing and Risk Management under Hidden Markov Model 王仁和; Wang, Ren-her
    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 股利結構變動與投資績效關聯性之研究 江羽襄; Chiang, Yu-hsiang
    2009 利率期限結構之非線性平滑狀態轉換模型分析 賴姮竹; Lai, Heng-chu

    Showing items 1276-1300 of 2571. (103 Page(s) Totally)
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