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    顯示項目79401-79425 / 80989. (共3240頁)
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    日期題名作者
    2005-06-03 風格投資在台灣的運用; Style Investment-A Case of Taiwan 常詩佳; Shih-Chia Chang
    2018-06-22 風機廠品質管理系統之研究 梁維新; Liang, Wei-Hsin
    2019-08-13 風機葉片氣動力的計算流體力學建模與模擬 劉家源; Liu, Chia-Yuan
    2017-08-07 風能與太陽能併固態氧化物電解電池 儲能複合系統研究;Analysis of Wind Power and Solar Power with Solid Oxide Electrolysis Cell hybrid System 林聖鈞; Lin, Sheng-Jun
    2007-06-21 風車尾流效應之實驗研究; Experimental Study of the Wind Turbine Wake 江培宏; Pei-huhg Chiang
    2005-07-01 風險中立參數移動之擇權權訂價法:理論、實證與應用(I); Options Pricing with Risk-Neutral Parameter Shifts: Modeling, Empirical Tests, and Applications (I) 張傳章
    2007-07-01 風險中立參數移動之擇權權訂價法:理論、實證與應用(III); Options Pricing with Risk-Neutral Parameter Shifts: Modelling, Empirical Tests, and Applications (III) 張傳章
    2006-07-01 風險中立參數移動之選擇權訂價法:理論、實證與應用(II); Options Pricing with Risk-Neutral Parameter Shifts: Modeling, Empirical Tests, and Applications (II) 張傳章
    2005-07-01 風險值測度評估:平賭轉換之應用; Evaluating VaR measures: An Application of Martingale Transformation 徐之強
    2006-06-23 風險值與風險管理策略之研究; VaR and Risk Management Strategy 林淑蓉; Shu-Long Lin
    2011-01-26 風險可接受度探討; The Combined Use of Accident Scenario and ALARP in Risk Assessment 賴瑞菊; Jui-Chu Lai
    2021-07-21 風險回歸模型下時間相依 ROC 曲線;Hazard Regression Model-base Time-dependent ROC Curve 林威廷; Lin, Wei-Ting
    2014-07-21 風險對銀行業國際金融業務效率之影響;The impact of Risk on The Efficiency of Offshore Banking in Banking Industry 林重光; Lin,Chung-Kuang
    2009-02-02 風險忍受度之決定因素與投資行為分析;Key factors of risk tolerance and analysis of investment behavior. 蔡雅蓮; Tsai,Ya-Lien
    1998-09-01 風險性放款保證之評價與分析(I);An Analysis of Vulnerable Loan Guarantees and Credit Enhancement (I) 俞明德; 張傳章
    2022-07-11 風險態度與 P2P 借貸投資意願: 探討過度自信與知覺投資價值之中介;Risk Attitude and Investment Intention of P2P Lending: Exploring the Mediation of Overconfidence Behavior and Perceived Investment Value 廖婕妘; Liao, Chieh-Yun
    2002-07-01 風險知覺與自然災害防治:以汐止水患為例; Risk Perception and Natural Hazards Mitigation 劉錦龍
    2016-03-29 風險管理中對於投資組合風險值和信用違約交換的評估;Evaluate Portfolio Value at Risk and Credit Default Swap in Risk Management 傅承德; 鄧惠文
    2015-01-08 風險管理中對於投資組合風險值和信用違約交換的評估;Evaluate Portfolio Value at Risk and Credit Default Swap in Risk Management 傅承德
    2018-06-19 風險管理於IS資訊品質與內控營運目標之中介效果探討 施少棠; Shih, Shao-Tang
    2018-08-01 風險聚集與跨區風險相關架構下反向抵押貸款商品定價及風險評估 ;The Effect of Risk Pooling on Pricing and Risk Analysis for Reverse Mortgage Products in the Presence of Risk Dependence 楊曉文
    2016-08-31 風險聚集與跨區風險相關架構下反向抵押貸款商品定價及風險評估;The Effect of Risk Pooling on Pricing and Risk Analysis for Reverse Mortgage Products in the Presence of Risk Dependence 楊曉文
    2018-12-19 風險聚集與跨區風險相關架構下反向抵押貸款商品定價及風險評估;The Effect of Risk Pooling on Pricing and Risk Analysis for Reverse Mortgage Products in the Presence of Risk Dependence 楊曉文
    2008-06-17 風險趨避之供應商在預測分享下的最佳產能; A risk-averse supplier’s optimal capacity under forecast sharing 柯凌俊; Ling-Jyun Ke
    2007-06-25 風險趨避者之最佳補貨水準; Optimal Base Stock Level in Risk-Averse Inventory Model 陳世凱; Shih-Kai Chen
    顯示項目79401-79425 / 80989. (共3240頁)
    << < 3172 3173 3174 3175 3176 3177 3178 3179 3180 3181 > >>
    每頁顯示[10|25|50]項目

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