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    Showing items 151-175 of 1169. (47 Page(s) Totally)
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    DateTitleAuthors
    2023 企業併購與其電廠營運效率: 財務面及環境面指標分析 王家容; Wang, Chia-Jung
    2014 企業分割對資本成本之影響性分析 郭馨檥
    2023 企業規模控管及其對研發進展之衝擊──來自中國製造業的證據 趙毅; Yi, Chao
    2014 企業高薪低報對台灣勞保退休年金及經濟成長影響之分析 陳冠彰
    2023 休閒運動行為與工資的關聯性:以臺灣為例 周祖彣; Chou, Zu-Wun
    2020 估計總體經濟動態效果的三篇論文 蕭宇翔; Hsiao, Yu-Hsiang
    2018 住宅抵押貸款證券與總體變數之關連性分析 黃慕晨; Huang, Mu-Chen
    2006 併購案中投資銀行的選擇與顧問費的索取-以美國銀行業為例 周恒章; Chou, Heng Chang
    2023 使用 LSTM 結合匯率模型和技術指標預測外匯走勢 廖浲諭; Liao, Feng-Yu
    2023 使用 LSTM 結合匯率模型和技術指標預測外匯走勢 廖浲諭; Liao, Feng-Yu
    2001 供給面干擾下之物價體制崩潰與產出波動 陳桂穎
    2017 信任,個人所得與國家財富 吳宗暉; Wu, Zonghui
    2004 信用卡持卡人行為研究與風險估計 陳淑君
    2004 More on Monetary Policy in a Small Open Economy with Imperfect International Capital mobility: A Credit View 蔡志堅; Tsai, Chih-Chien
    2008 信用投資組合觀點模型應用 黃憶倫; Huang, Yi-Lun
    2005 信用評分模型的建置與驗證 謝有隆
    2008 信用評等與股票流動性 謝婷韻
    2010 信用資產組合之集中度、風險貢獻與壓力測試逆境值實證研究 簡國安
    2005 信用違約機率之預測-Binary Regression Quantiles的應用 忻維毅
    2006 信用違約風險之預警指標 吳仁弘
    2018 個人背景與種族對創業選擇行為之影響: 以不同人力資本需求的產業為例 蔡堯力; Tsai, Tao-Li
    2011 個別國家與全球股市超額報酬與風險抵換關係之探討 -以台灣及韓國為例 蔡靜涵; Tsai, Jing Han
    2001 備兌型認購權證避險策略與績效之評估 范雅琁
    2008 傳染性風險下的信用風險因子模型與多期連續的矩陣 許柏園; Hsu, Po Yuan
    2009 債務、金融部門發展與經濟成長 鍾建屏; Chung, Chien Ping

    Showing items 151-175 of 1169. (47 Page(s) Totally)
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