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    Showing items 651-675 of 1096. (44 Page(s) Totally)
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    DateTitleAuthors
    2006-07-05 合成式擔保債務憑證內非標準型分?之定價與避險; Pricing and Hedging Non-Standardized Synthetic CDO Tranches 許恆杰; Heng-Chieh Hsu
    2006-07-05 GARCH-jump模型預測波動性之準確度; Accuracy of forecasting volatility by the GARCH-jump mixture mode 余雅婷; Ya-Ting Yu
    2006-07-05 在隨機利率下具重載特質之員工選擇權的評價; The Valuation of Employee Reload Options with Stochastic Interest Rates 鄭濰昌; Wei-Chang Cheng
    2006-07-05 擔保債務憑證市場價格隱含之相關係數結構; Correlation Structure Implied form CDO Markets 邱信瑜; Hsin-Yu Chiu
    2006-06-29 公司治理機制與企業購併宣告之研究-以台灣上市公司為例; Corporate Governance and Merger and Acquisition Announcements-An Empirical Study of Taiwan Listed Firms 許椀雯; Wan-Wen Hsu
    2006-06-27 法人日內投資行為及跟隨法人投資策略; A Study on Intraday Trading Behavior of Institutional Investors and Strategy Following Intraday Institutional Information 林育屏; Yu-Ping Lin
    2006-06-27 台灣股市日內效果之研究; The Study of Intraday Effect in Taiwan Stock Market 陳中怡; Chung-Yi Chen
    2006-06-27 提前平倉與轉倉策略對股價指數期貨到期日效應之實證:以台灣股票市場為例; Unwindings and Rollovers of Stock Index Futures Arbitrage Strategy for Predicting Expiration-Day Effects:Some Empirical Evidence from the Taiwan Stock Market 林子傑; Tzu-Chieh Lin
    2006-06-26 美國抗通膨公債 (TIPS) 交易策略之實證研究;+C4140 TIPS Trading Strategy: An Empirical Investigation 趙孟麗; Meng-Li Chao
    2006-06-26 私募股權投資管理公司實證研究與個案探討; Empirical Investigation and Case Study on Listed Private Equity Management Companies 王耀毅; Yao-Yi Wang
    2006-06-26 相關性交易及信用違約交換價差; Correlation Trading and Credit Default Swap Spread 錢雅芳; Ya-Fang Chien
    2006-06-26 不動產投資信託報酬與不動產類型之研究; REITs Returns and Property Types 黃俊晏; Chun-Yen Huang
    2006-06-26 公平揭露法案對被忽略公司的影響; The impact of Regulation Fair Disclosure on neglected firms 陳毓新; Yu-hsin Cken
    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
    2006-06-16 法規鬆綁與科技進步對本國銀行企業放款淨利率的影響 陳嘉珮; CHIA-PEI CHEN
    2006-06-16 金融機構的盈餘傳遞與治理機制之研究; A Study on Earnings Transmission and Corporate Governance of Financial Institutions 朱育男; Yu-Nan Chu
    2006-06-14 從隨機優勢觀點探究全球價值-成長策略; International Value-Growth Strategies: A Stochastic Dominance Perspective 蔡叔琪; Shu-Chi Tsai
    2006-06-14 全球反向與動能策略; International Contrarian and Momentum Strategies:A Stochastic Dominance Perspective 黃婉淩; Wan-Ling Huang
    2006-06-14 套利訂價模型中未知因子之分析:全球實證研究; Analyzing the Unknown Factors in the APT Model: International Evidence 蔡宗廷; Tsung-Ting Tsai
    2006-06-13 歐元對歐洲股票市場整合之影響:產業實證分析; The Euro and European Stock Market Integration: Evidence from the Industry Level 陳欣儀; Hsin-Yi Chen
    2006-06-13 選擇權交易與標的資產報酬及標準差之關係; The relationships between option trading and underlying returns and volatility 陳詩耘; Shih-Yun Chen
    2006-06-13 Copula-based GARCH模型於期貨避險之應用;Futures Hedging with a Copula-based Multivariate GARCH Model 曾至苹; Chih-Ping Tseng
    2006-06-10 併購宣告之日內市場反應; Market Reactions to Acquisition Announcements — An Intraday Analysis 郝嘉瑩; Chia-Ying Hao
    2006-06-10 宣告股票購回之日內市場反應; Market Reactions to Repurchase Announcements--An Intraday Analysis 李靜宜; Ching-Yi Li
    2006-06-10 破產宣告對其上下游產業之市場反應; The Impact of Bankruptcy Announcements on Their Suppliers and Customers 蘇姿寬; Chih-Kuan Su

    Showing items 651-675 of 1096. (44 Page(s) Totally)
    << < 22 23 24 25 26 27 28 29 30 31 > >>
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