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    Showing items 801-825 of 847. (34 Page(s) Totally)
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    DateTitleAuthors
    2013 銀行業監理對台灣銀行業獲利能力之影響 彭方偉; Peng, Fang Wei
    2017 銀行業社群媒體行銷模式之訊息策略探究 -以FACEBOOK粉絲專頁為例 陳安婕; Chen, An Jie
    2009 銀行海外擴張的因素探討與貪污對其影響 蔡淵禮
    2004 銀行海外貸款的利與弊--以C銀行越南融資案為例 鄧秀娟
    2012 銀行現金增資對自有資本適足率變動的宣告效果之研究 游恩慈; Yu, En Tzu
    2016 銀行產業效率分析: 網絡隨機邊界模型與其應用 林忠億; Lin, Chung I
    2013 銀行產業競爭度分析: 新方法與其應用 劉南宏; Liu, Nan Hung
    2000 銀行用價格或數量壓抑地雷公司借款?-銀行放款信用分配的台灣實證 秦玉芬; Chin, Claire
    2007 銀行經營績效:公司治理、資產規模與外資進入 吳孟紋; Wu, Meng Wen
    2002 銀行脆弱性與銀行失敗—跨國研究 謝孟芬; Meng-Fen Hsieh
    2003 銀行集中作業中心之策略管理 殷玉珍
    2020 長短期記憶神經網路(LSTM)利率之預測 蔡伶婕; Tsai, Leng-Chieh
    2016 關於信用集中度風險的兩篇論述 傅信豪; Fu, Hsin Hao
    2023 關於美國銀行業在經營績效與信用風險的兩篇論述 何杰操; He, Jie-Cao
    2016 關於選擇權市場處置效果與相似度衡量期貨交易策略的兩篇論述 邱信瑜; Chiu, Hsin Yu
    2003 附有最低保證給付投資型保險之評價與分析 曾柏方; Tseng, Po-fang
    2000 限制下方風險的資產配置 簡佳至; Chien, Chia-Chih
    2024 除權息投資人情緒與股票股利之關聯性研究 ─ 以台灣市場為例 蔡孟廷; Tsai, Meng-Ting
    2001 隨機利率下之資產交換-跨通貨股酬交換與利率交換的評價與避險 姜碧嘉; Chiang, Bi-Chia
    2018 隨機利率下可解約利率變動型壽險評價分析 林靜吟; Lin, Ching-Yin
    1998 隨機利率下外幣選擇權訂價理論與模擬 張雅琪; Chang, Yaa-Chi
    2002 隨機利率下選擇權訂價模型 王昭文
    2001 隨機利率模型下台灣公債市場殖利率曲線之估計 羅家俊; Lo, Chia-Chun
    2019 隨機森林及深度強化學習在台指期交易策略之應用 葉峰銘; Yeh, Fong-Ming
    1998 隨機波動度下選擇權評價理論的應用---以台灣認購權證為例 曹金泉; Tsao, Jim-Chain

    Showing items 801-825 of 847. (34 Page(s) Totally)
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