淡江大學機構典藏:Search Results
English  |  正體中文  |  简体中文  |  Items with full text/Total items : 64185/96959 (66%)
Visitors : 11941131      Online Users : 164
RC Version 7.0 © Powered By DSPACE, MIT. Enhanced by NTU Library & TKU Library IR team.
Scope Tips:
  • please add "double quotation mark" for query phrases to get precise results
  • please goto advance search for comprehansive author search
  • Adv. Search
    HomeLoginUploadHelpAboutAdminister Goto mobile version

    Category

    Loading community tree, please wait....

    Author

    Loading author tree, please wait.....

    Year

    Loading year class tree, please wait....

    Results 7711-7720 of 11656.

    previous763 764 765 766 767 768 769 770 771 772 773 774 775 776 777 778 779 780 781 next    View [10|25|50] records per page
    [ Search items with full text(s)| Search all items]     Sort results by Order

    7711原油現貨對高敏感性原油相關產業之連動性影響

    鄒易凭; Tzou, Yi-pin2007
    [Graduate Institute & Department of Banking and Finance] Thesis
    of Cointegration Vectors.” Journal of Economic Dynamics and Control, 12, pp. 231-254. Jones, C., & G. Kaul, 1996, “Oil and The Stock Markets.” Journal

    7712金融業併購的價值創造與挑戰 : J.P. Morgan Chase 與Bank One Corp.合併事件的個案研究

    蔡宛如; Tsai, Wan-ju2006
    [Graduate Institute & Department of Banking and Finance] Thesis
    Takeovers and the Market for Corporate Control”, Journal of Banking and Finance, Vol. 13, pp. 2-16. 13. Frantslikh, Sofya, (2005), Mergers

    7713以區間測試法探討匯率波動對臺灣出口之關聯性

    劉彥宏; Liu, Yen-hong2008
    [Graduate Institute & Department of Banking and Finance] Thesis
    and Control, 12, 231-254. 30. Johansen, S., (1994), “The Role of the Constant and Linear Terms in Cointegration Analysis of Nonstationary Variables

    7714Credit spread decomposition and implications on diversification

    孫效孔; Sun, David Shaokung2007
    [Graduate Institute & Department of Banking and Finance] Thesis
    analysis of cointegration vectors and dynamics and control, Journal of Econometrics, 12, 231-254 Johansen, S., and K. Juselius, 1990, Maximum

    7715台灣平衡型基金規模與股市、債市的非線性關係探討

    黃文郁; Huang, Wen-yu2007
    [Graduate Institute & Department of Banking and Finance] Thesis
    of Economic Dynamics and Control, 12, pp.231-254. 28.Johansen, S. (1991), "Estimation and Hypotheses in Testing of Cointegration Vector in Gaussian Vector

    7716臺灣公債主流券殖利率與各金融市場變數之關聯性

    張申東; Chang, Shen-tung2007
    [Graduate Institute & Department of Banking and Finance] Thesis
    ), “Statistical Analysis of Cointegration Vectors.”, Journal of Economic Dynamic and Control, 12, 231-254. 40.Johnsoen, S. (1991), “Estimation and Hypothesis

    7717開放信用交易對股票報酬波動性與週轉率之影響

    賴智民; Lai, Chih-min2005
    [Graduate Institute & Department of Banking and Finance] Thesis
    ), “Causality Tests in Econometrics,” Journal of Economic Dynamics and Control, Vol. 1, pp. 321-346. 18. Hsu, Y. (1996), “Margin Requirement and Stock

    7718The determinants of capital structure from partial adjustment and nonlinear empirical evidence

    劉文謙; Liu, Wen-chien2006
    [Graduate Institute & Department of Banking and Finance] Thesis
    , control and management affect firm value?” Journal of Financial Economics, forthcoming paper Welch, I., 2004. “Capital structure and stock returns

    7719台灣地區銀行業承作非傳統業務之經營績效評估

    許惠淇; Hsu, Hui-chi2005
    [Graduate Institute & Department of Banking and Finance] Thesis
    in the Banking Industry,” Jouranl of Monetary Economics (31), 229-249. 9. Gorton, G. and Rosen, R. (1995), “Coporate control, Portfolio Choice

    7720A study on reforming Taiwan's deposit insurance pricing

    林容竹; Lin, Jung-chu2005
    [Graduate Institute & Department of Banking and Finance] Thesis
    Control Moral Hazard? Economic Quarterly- Federal Reserve Bank of Richmond 88, No. 2, 87-100. Ronn, E. and A. Verma, 1986. Pricing Risk-Adjusted Deposit


    DSpace Software Copyright © 2002-2004  MIT &  Hewlett-Packard  /   Enhanced by   NTU Library & TKU Library IR teams. Copyright ©   - Feedback