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    Showing items 271-280 of 667. (67 Page(s) Totally)
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    DateTitleAuthors
    2014-10 Risk Determinants of Gold Betas 廖四郎; Lian, Yu-Min; Liao, Szu-Lang
    2006-09 Risk Management for Linear and Non-Linear Assets: A Bootstrap Method with Importance Resampling to Evaluate Value-at-Risk Lin, Shih-Kuei; Wang, R. H.; Fuh, C. D.; 林士貴
    2020-04 Risk Management of Deposit Insurance Corporations with Risk-Based Premiums and Credit Default Swaps 林士貴; Lin, Shih-Kuei; Wu, Yang-Che; Chen, Ting-Fu
    1988-04 ROC-U.S. Trade Relations from a Financial Perspective 梁國樹; 侯金英
    2010-04 Roles played by financial development in economic growth: application of the flexible regression model Shen, Chung-Hua; Lee, Chien-Chiang; Chen, Shyh-Wei; Xie, Zixiong; 沈中華
    2006 Same Financial Development Yet Different Economic Growth: Why? Shen, Chung-Hua; Lee, Chien-Chiang; 沈中華
    2002-11 Seasonal Cointegration and Cross-Equation Restrictions on a Forward Looking Buffer Stock Model of Money Demand 黃台心; Huang,Tai-Hsin; Shen,Chung-Hua
    2002 Seasonal cointegration and cross-equation restrictions on a forward-looking buffer stock model of money demand Shen, Chung-Hua; Huang, Tai-Hsin; 沈中華
    2011 Securitization and Tranching Longevity and House Price Risk for Reverse Mortgage Products 楊曉文; Yang, Sharon S.
    2017-03 Securitization, House Prices, and Bank Lending Standards. (In Chinese. With English summary.) 張興華; Chiang, Yeong-Yuh; Chang, Hsing-Hua; Tseng, Ping-Lun

    Showing items 271-280 of 667. (67 Page(s) Totally)
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