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    顯示項目426-450 / 1944. (共78頁)
    << < 13 14 15 16 17 18 19 20 21 22 > >>
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    日期題名作者
    2009-12 The Distributions of Policy Reserves Considering the Policy-Year Structures of Surrender Rates and Expense Ratios 江彌修; Chiang, Derek Mi-Hsiu
    2009-09 The Distributions of Policy Reserves Considering the Policy-Year Structures of Surrender Rates and Expense Ratios 蔡政憲; 郭維裕; 江彌修; Tsai, Chenghsien; Kuo, Weiyu; Chiang, Derek Mi-Hsiu
    2010 The dual characteristics of closed-end country funds: the role of risk Shen, Chung-Hua; Chen, Chien-Fu; Chen, Shyh-Wei; 沈中華
    2011-02 The effect of exchange-rate uncertainty on unemployment in three developing Asian countries: evidence from bivariate GARCH approach Shen, Chung-Hua; Chang, Shu-Chen; 沈中華
    2007 The effects of bonus systems on firm performance in Taiwan`s high-tech sector Shen, Chung-Hua; Han, Tzu-Shian; 沈中華
    2011 The elusive effect of bank size on profits Shen, Chung-Hua; Wu, Meng-Wen; 沈中華
    1999 The evaluation of option when the underlying asset prices under price limits 陳威光
    2016-07 The Extension from Independence to Dependence between Jump Frequency and Jump Size in Markov-modulated Jump Diffusion Models 林士貴; 彭金隆; Lin, Shih-Kuei; Peng, Jin-Lung; Chao, Wei-Hsiung; Wu, An-Chi
    2001 The Forward-Pricing Tree Methods of Option Pricing under Gaussian HJM framwork of Stochastic Interest Rates 廖四郎; C. W. Wang
    2010 The Impact of Corporate Governance on the Relationship Between Fundamental Information Analysis and Stock Returns Shen, Chung-Hua; Lin, Kun-Li; 沈中華
    2000 The Impact of Cross-Ownership on the Reaction of Corporate Investment and Financial Constraints: A Panel Threshold Model Shen, Chung-Hua; Wang, Chien-An; 沈中華
    2020 10-K財報情緒與多因子模型對超額報酬之影響:以美國股市為例 蔡承恩; Tsai, Cheng-En
    2002 The Impact of Share Holding and Ability of Managers on The Firm Value of State-Owned Enterprises in China - An Application of Financial Agency Theory 廖四郎; 蔡揚宗; 張敏蕾; Liao, Szu-Lang; Tsay, Jimmy Y.T.; Chang, Ming-Lei
    1999 The impacts of the Asian Financial Crisis on Taiwanese Business with investment interests in South East Asia 李桐豪
    2010 CoVaR風險值對金融機構風險管理之重要性─以台灣金融控股公司為例 陳怡君; Chen, Yi Chun
    2013 Beveridge-Nelson分解趨勢方法對匯率預測模型績效之影響 -以新台幣兌美元匯率為例 紀筌惟; Chi, Chuan Wei
    2016 CBOE SKEW指數資訊內涵研究-應用馬可夫狀態轉換模型建構交易策略 簡育昰; Jian, Yu Shi
    2016 S&P500波動度的預測 - 考慮狀態轉換與指數風險中立偏態及VIX期貨之資訊內涵 黃郁傑; Huang, Yu Jie
    2015 The Information Transmission Effect and Asset Prices: Evidence from the China B-Share Discount Liao, Szu-Lang; Tsai, Tsung-Ying; 廖四郎; 蔡宗穎
    2007 The Key Role Penalty Played 江彌修
    2009-08 The LeChatelier principle in a DEA model 陳亞為; 黃台心; Chen, Yah-Wei; Huang, Tai-Hsin
    2013 The link between life insurance activities and economic growth: Some new evidence Lee, C.-C.; Lee, Chi-Chuan; Chiu, Y.-B.; 李起銓
    2007 The Liquidity Role of a Bank in Bank and Non-bank Conglomerates: Evidence from Taiwan Wang, Chien-An; Shen, Chung-Hua; 沈中華
    1999-04 The market risk of warrant positions: Value-at -risk Approach 陳威光
    2001 The Monetary Policy Reaction Function for Taiwan: A Narrative Approach Shen, Chung-Hua; Huang, River H. C.; 沈中華

    顯示項目426-450 / 1944. (共78頁)
    << < 13 14 15 16 17 18 19 20 21 22 > >>
    每頁顯示[10|25|50]項目

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