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    結果 6511-6535 / 11656.

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    6511分期投資報酬率下美股與臺股之長短期互動關係研究

    詹兆文; Chan, Chao-wen2008
    [財務金融學系暨研究所] 學位論文
    and Control, 12, 231-254. U0002-2101200810471000 https://tkuir.lib.tku.edu.tw/dspace/handle/987654321/31574

    6512短期利率動態波動模型 - 偏態分配之應用

    林慧琪; Lin, Hui-chi2008
    [財務金融學系暨研究所] 學位論文
    and Control", Holden-Day, San Francisco. 21. Chan, K., Karolyi, G. A., Longstaff, F. A., and Sanders, A. B. (1992), "An empirical comparison

    6513隱含便利收益的資訊內涵 : 以Copula為基礎的美式選擇權定價模型

    林明瑛; Lin, Ming-in2006
    [財務金融學系暨研究所] 學位論文
    , 48, 1,50-72. Broadie, M., and Glasserman P., 1997, Pricing american-style securities using simulation, Journal of Economic Dynamics and Control, 21

    6514現貨價格可測下最小變異避險策略

    黃淑茹; Huang, Shu-ju2009
    [財務金融學系暨研究所] 學位論文
    Financial Economics, vol. 3, pp. 67-72. 35. Sims, C. A.(1988)Bayesian skepticism on unit root econometrics, Journal of Economic Dynamics and Control

    6515次貸風暴期間臺灣加權股價指數與基金淨值績效長短期因果關係研究

    顏玉滿; Yen, Yu-man2009
    [財務金融學系暨研究所] 學位論文
    : The Case of Mutual Fund Flows“Journal of Economic Dynamics & Control, Vol.21,pp.1117-1147. Markowitz, Harry M, 1952, “Portfolio Selection

    6516債券之風險衡量 : Cornish Fisher應用

    陳儒毅; Chen, Ju-yi2006
    [財務金融學系暨研究所] 學位論文
    authority and availability of various products provided by the bond industry. Hence, risk management and risk control have become a significant

    6517原油價格波動性預測

    陳佳琪; Chen, Chia-chi2008
    [財務金融學系暨研究所] 學位論文
    , Journal of Applied Econometrics 16(4), 521-536. Zakoian, J. M. (1994), Threshold heteroskedastic models, Journal of Economic Dynamics & Control 18(5

    6518美國波動度指數與標的及相關指數之非線性平滑移轉模型之應用

    紀少強; Chi, Shao-chiang2007
    [財務金融學系暨研究所] 學位論文
    , “Statistical Analysis of Cointegration Vectors,” Journal of Economic Dynamics and Control, 12, 231-254. Kalyvas, L. and Dritsakis, N., 2003, “Causal

    6519預測財務波動性 : CARR模型的應用

    古欣卉; Ku, Hsin-hui2006
    [財務金融學系暨研究所] 學位論文
    plays an important role in finance. If we can capture the characteristics of the motions of assets precisely, we could make good portfolios and control

    6520美國油價期貨報酬與股市報酬率之非線性關係

    陳隆昌; Chen, Lung-chung2005
    [財務金融學系暨研究所] 學位論文
    ., 38, pp195-213. Hsiao, Cheng, (1979) “Causality in econometrics”, journal of Economic Dynamics and Control, 4, pp321-346. Johansen, S., (1991

    6521利率與房價長短期非線性因果關係研究 : 臺北市與臺北縣之比較

    張瓊文; Chang, Chiung-wen2009
    [財務金融學系暨研究所] 學位論文
    . 19.Johansen, S. (1988), “Statistical analysis of cointegrating vectors,” Journal of Economic Dynamics and Control, 12, pp.231-254. 20.Jud, G.. D

    6522英、日匯率之長短期互動關係實證研究

    吳彥儒; Wu, Yen-ju2009
    [財務金融學系暨研究所] 學位論文
    Analysis of Cointegration Vectors,” Journal of Economics Dynamics and Control, Vol. 12, pp. 231-254. 34. Levich, Richard M., (1979), “The Denomination

    6523台灣利率期限結構之非線性平滑轉換誤差修正模型實證研究

    許琇庭; Hsu, Shiou-ting2006
    [財務金融學系暨研究所] 學位論文
    of interest rates,” Journal of Economic Dynamics & Control, 27, 2243 – 2265. Shiller, R., J. Campbell, and K. Schoenholtz (1983),“Forward rates

    6524比較現貨與期貨的波動率在TXO市場之預測能力

    曾國書; Tzeng, Guo-shu2009
    [財務金融學系暨研究所] 學位論文
    , Journal of Financial Economics 19, 351-372. Zakoian, J. M., 1994, Threshold heteroskedastic models, Journal of Economic Dynamics and Control, Elsevier

    6525股票流動性對公司投資支出的影響-兩岸三地比較

    張慧盈; Chang, Hui-ying2008
    [財務金融學系暨研究所] 學位論文
    , Journal of Accounting and Economics 9, 287-310. 27. Maug, E.,1998, Large shareholders as monitors: Is there a trade-off between liquidity and control

    6526論私募公司之折價發行、宣告效果及長期績效表現

    梁晏慈; Liang, Yen-tzu2008
    [財務金融學系暨研究所] 學位論文
    Finance,13,4,461-484. 3.Barclay, M. J. and C. G. Holderness, 1989, “Private Benefits from Control of Public Corporation”, Journal of Financial Economics, 25, 271-395

    6527外人直接投資對經濟成長的影響 : 貪腐所扮演的角色

    李憲凭; Li, Sian-ping2009
    [產業經濟學系暨研究所] 學位論文
    Research Working Paper 1652. Bhagwati, J.N.(1978), “Anatomy and Consequences of Exchange Control Regimes”, vol. 1, Studies in International Economic

    6528臺灣製造業廠商出口行為之探討

    杜佩縈; Tu, Pei-ying2008
    [產業經濟學系暨研究所] 學位論文
    -commerce adoption by Taiwan entrepreneurs,” the Third International Conference on Innovative Computing, Information and Control (ICICIC 2008), Dalian

    6529限價與非限價電力選擇權評估之比較—以加州為例

    呂慧蘭; Lu, Heui-lan2005
    [產業經濟學系暨研究所] 學位論文
    , Mark and Paul Glasserman, 1997, “Pricing American-Style securities using simulation,” Journal of Economic Dynamics and Control, Vol. 21, Issue 8-9

    6530海外市場進入模式之選擇 : 動態二元選擇模型之分析

    張瀞云; Chang, Jing-yun2009
    [產業經濟學系暨研究所] 學位論文
    . Anderson (1988). The Multinational Corporation’s Degree of Control over Foreign Subsidiaries: An Empirical Test of a Transaction Cost Explanation

    6531台灣地區之量販店競爭策略之探討

    安南; Rzayev, Anar2005
    [國際企業學系暨研究所] 學位論文
    , structure, and process” New York: McGraw-Hill. Murray, G.C., (1983),"Management Strategies for Corporate Control in British

    6532以產品與通路之聯想角度探討消費者購買行為

    高雅雯; Kao, Ya-wen2005
    [國際企業學系暨研究所] 學位論文
    and Control, 9thed., Prentice-Hall., Inc. ___________ , Swee Hoon Ang , Siew Meng Leong and Chin Tiong Tan(1999), Marketing Management-an asian

    6533競合關係下之產品策略探討 : 以國際性A公司為例

    古梅華; Ku, Mei-hua2006
    [國際企業學系暨研究所] 學位論文
    Business School Press. 3. Das, T.K. & Teng, B.S.(2000), “Instabilities of strategic alliances: An internal tensions perspective”, Organization Science

    6534臺灣企業創投對產業價值績效影響之研究

    陳淑芬; Chen, Shu-fen2008
    [國際企業學系暨研究所] 學位論文
    Firms”, Managerial and Decision Economics, Vol.16, No.6, pp.593-606 Jensen, M.C., 1993 ”The Modern Industrial Revolution, Exit and Control Systems

    6535G品牌在臺灣美容沙龍的營運策略

    顧倩虹; Ku, Chien-hung2009
    [國際企業學系暨研究所] 學位論文
    .(1994), Marketing Management: Analysis, Planning Implementing, Control(8 th ed.) New York: Prentice-Hall。 15.Mason, J. B. & Mayer, M. L. (1990


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