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    Showing items 1-25 of 49. (2 Page(s) Totally)
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    DateTitleAuthors
    2000 40分鐘預測匯率危機 沈中華
    2009-01 DO INDIVIDUAL INVESTORS REACT TO NON-INFORMATIVE EVENTS? 林靖庭
    2000 Equity-Style Classification and Investing Strategy: The Application of Artificial Neural Networks Shen, Chung-Hua; 沈中華
    2000 Financial Reform and Asian Turmoil: Taiwan`s Experience Yin, Norman; 殷乃平
    2010 Limited Information Estimation and Evaluation of Dynamic Macroeconomic Models 趙世偉; Chao, Shih-Wei
    2024-04 Optimizing Portfolios with ESG, Dividends, and Volatility Factors via Machine Learning 張興華; Chang, Hsing-Hua; Lai, Chen-Hsin; Lin, Kuen-Liang; Lin, Shih-Kuei
    2000 Valuation of Cross-Currency Two-way Equity SWAPS without Currency Risks 廖四郎; 江怡蒨; 胡聯國
    2010 中國金融制度與市場 = China`s financial system and market 朱浩民
    2000-09-20 事件硏究法:財務與會計實證硏究必備 沈中華; 李建然
    2006 信用連結商品個案之分析與評價 陳松男
    2002-05 大陸金融制度與市場 朱浩民
    2010 我國金融控股公司整體經營績效評比 沈中華
    2003-11-28 投資前的第1堂金融課 沈中華
    1996 投資學 殷乃平
    2005 掌握國際匯率危機預測 沈中華
    2003-01 新金融商品個案集(I) 陳威光
    2003 新金融商品個案集. I = Case studies in new financial instruments 陳威光
    1999-04 明年我國銀行業之經營環境與策略 李桐豪
    1997-08 期貨市場分析 朱浩民
    1994-08 期貨市場分析 朱浩民
    1999-07 期貨與選擇權 朱浩民
    2015-08 期貨與選擇權原則 陳威光
    2018-09 期貨與選擇權-金融創新個案 陳威光
    1980 歐洲美元市場與國際金融 張春雄
    1982 消費稅的經濟分析 殷乃平

    Showing items 1-25 of 49. (2 Page(s) Totally)
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