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    Showing items 121-130 of 856. (86 Page(s) Totally)
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    DateTitleAuthors
    2015 以羅吉斯與類神經模型辨別台灣選擇權與期貨市場間的有效套利機會 宋鴻緯; Sung, Hong Wei
    2015 以羅吉斯與類神經模型辨別台灣選擇權與期貨市場間的有效套利機會 宋鴻緯; Sung, Hong Wei
    2017 以考慮內生性問題的系統迴歸模型估計兩部門國際觀光旅館的技術效率-台灣的實證分析 黃廉淨; Huang, Lian-Jing
    2000 以股價指數期貨規避系統性信用風險 邱瀞玉; Chiu, Jing-Yu
    2005 以行銷概念分析我國銀行消費金融業務—理論、實例與做法 陳政輝
    2008 以購併事件長期績效觀短期市場反應效率 王君淳
    2004 以選擇權理論法模型及Z-Score Model檢視博達公司違約事件 鄭寶琳
    2019 以遺傳演算法優化JLS模型的台股崩盤預測 郭力帆; Kuo, Li-Fan
    2019 以關聯結構隨機成本邊界模型比較我國金控、 非金控銀行與壽險公司之成本效率 廖育緯; Liao, Yu-Wei
    2007 以風格分析法分析社會責任型共同基金之報酬率 黃民志

    Showing items 121-130 of 856. (86 Page(s) Totally)
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