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    政大機構典藏 > 商學院 > 企業管理學系 > 學位論文 >  Item 140.119/91206
    Please use this identifier to cite or link to this item: https://nccur.lib.nccu.edu.tw/handle/140.119/91206


    Title: 會計資訊與證券組群管理
    Authors: 郭明正
    Contributors: 劉維琪
    郭明正
    Date: 1986
    Issue Date: 2016-05-05 13:52:41 (UTC+8)
    Reference: 參考書目
    一、 中文部份
    1. 台灣證券交易所證交資料社:「台灣證券交易所二十年史」,台北:證交資料月刊第二四二期,民國七十一年六月出版。
    2. 林煜宗著,現代投資學-制度、理論與實證,自版,民國七十四年四月。
    3. 錢金麟譯:數值分析應用,台北:開發圖書公司,民國七十四年四月。
    4. 施澄鐘著:數值分析,台北:松崗圖書公司,民國七十四年五月。
    5. 林鎮邦著:「台灣地區股票上市公司公佈之財務報表所含情報量之研究」,民國68年,台大商學研究所碩士論文。
    6. 吳琮璠著:「台灣地區股票上市公司會計情報實證市場系統風險與會計系統風險之關聯」,民國七十年,台大商學研究所碩士論文。
    7. 陳建榮著:「台灣地區股票上市公司業績發表之內容及準確性之研究」,民國七十一年,台大商學研究所碩士論文。
    8. 薛明莉著:「台灣地區股票上市公司會計獲利能力衡量方法興股東報酬率關係之研究」,民國七十?年,台大商學研究所碩士論文。
    9. 張鴻基著:「台灣地區股票上市公司每季盈餘時間數列特性及資訊內容之研究」,民國七十二年,台大商學研究所碩士論文。

    二、 英文部份
    1. Jack Clark Frances and Stephen H. Archer: Portfolio Analysis, 台北:華泰書局翻印,民國六十八年。
    2. Nancy L. Jacob and R. Richardson Pettit: Investments, 台北:天一圖書公司翻印,民國七十四年。
    3. Sid Mittra and Chris Gassen: Investment Analysis and Portfolio Management,台北:華泰書局翻印,民國六十九年。
    4. E. J. Elton and M.J. Gruber: Modern Portfolio Theory-Investment Analysis, Addison-Wesley Publishing Company, 1985.
    5. Markowitz, Harry: Portfolio Selection: Efficient Diversification of Investments, New York: John Wiley & Sons, Inc., 1959.
    6. Sharpe, William: Portfolio Theory and Capital Markets, New York: Mcgraw-Hill Book Co., 1970.
    7. Thomas E. Copeland and J. Fred Weston: Financial Theory and Corporate Policy, Addison-Wesley Publishing Company, 1984.
    8. Fama, Eugene : Foundations of Finance, New York : Basic Books, 1976.
    9. Benzion Barlen and Haim Levy: "On the Variability of Accounting Income Numbers”, Tournal of Accounting Research, Vol. 17, No. 2 Autome 1979, pp. 305-315.
    10. Benzion Barlev and Haim Levy: "The Information Content of Accounting Data and the Management of Security Portfolios”, Tournal of Business Finance & Accounting, Autume, 1981. pp. 221-248.
    11. Ray Ball and Philip Brown: An Empirical Evaluation of Accounting Income Number", Journal of Accounting Research, Autumn 1968, pp. 159-178.
    12. Marvin Marcus: Discrete Mathematics: A Computational Approach Using Basic, 台北:華泰書局翻印,民國七十三年。
    13. Ray Ball and Philip Brown: Portfolio Theory and Accounting Theory, Journal of Accounting Research, Autumn 1969, pp.300-323.
    14. Avi Rushinek and Sara Rushinek: A Note to Barlev-Levy Theory of the Information Content of Accounting Data and the Management of Security Portfolios Which Include the Least Correlated Stocks: An Empirical Analysis, Journal of Business Finance & Accounting, Spring 1985. pp. 117-131.
    15. Beaver, W. and J. Manegold: The Association Between Market-Determined and Accounting-Determined Measures of Systematic Risk: Some Further Evidence, Journal of Financial and Quantitative Analysis, June 1975, pp. 231-283.
    Description: 碩士
    國立政治大學
    企業管理學系
    Source URI: http://thesis.lib.nccu.edu.tw/record/#B2002006467
    Data Type: thesis
    Appears in Collections:[企業管理學系] 學位論文

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