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    顯示項目1-25 / 308. (共13頁)
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    日期題名作者
    2020-01-13 考量監理資本要求下附保證終身提領給付商品最適避險與投資策略之研究;Optimal Hedging and Investment Strategy for Guaranteed Lifetime Withdrawal Benefit Products Considering Capital Requirements 楊曉文
    2020-01-13 技能配置錯誤對公司投資及融資政策的影響;Skill Mismatching: Evidence from the Amendment on Regulation S-K in 2009 彭淑卿
    2020-01-13 執行長生涯文化認同形成、文化距離、與企業社會責任;Ceo’S Lifetime Cultural Identity Formation, Cultural Distance, and Corporate Social Responsibility 李韋憲
    2020-01-13 堅韌與超額動能策略:績效與成因;Robust and Excess Momentum Strategies: Performance and Rationale 周賓凰
    2020-01-13 探討台灣以房養老商品目前發展現況與困境: 契約設計、契約定價、改善方法及相關建議;On Taiwanese Reverse Mortgages: Current Development and Predicament, Product Design, Product Pricing, Improvement Methods and Related Suggestions 吳庭斌
    2020-01-13 產品市場、資產特性及公司資產配置:理論及實證分析;Product Market Characteristics, Capital Asset Irreversibility, and Corporate Asset Allocation: Theory and Evidence 李丹
    2020-01-13 經濟政策不確定性對於外匯市場的影響;Impacts of Economic Policy Uncertainty in Foreign Exchange Markets 高櫻芬
    2020-01-13 資產可重置性與企業避稅決策;Asset Redeployability and Corporate Tax Avoidance 黃泓人
    2020-01-13 隨機優越之應用:風險偏好參數估計,健康不均度與所得不均度的衡量;Stochastic Dominance: Risk Preference Estimation, Health Inequality and Income Inequality Ordering 黃瑞卿
    2019-02-21 AI 科技對個人、群體、社經制度的衝擊、調適與因應( I );The Adaption and Response of Firm and Stakeholders' Behavior, Industrial Organization and Economic Structure toward the Induction and Adoption of Ai Related Technologies: an Cross Examination from Economic Empirical and Socio-Materiality Evaluation( I ) 葉錦徽; 張桐銳; 劉念琪
    2019-02-21 中國企業債市場信用評等尋購現象之探討:理論與實證;Rating Shopping in Chinese Enterprise Bond Market: Theory and Evidence 黃泓人
    2019-02-21 企業財報重編對同業及供應鏈影響:以企業社會責任為例;The Impact of Financial Restatement on Industry Rivals and Supply Chain Partners: Evidence from Corporate Social Responsibility 何柏欣
    2019-02-21 個股選擇權投資人交易資訊與公司創新之研究;Investor Trading Information and Corporate Innovations: Evidence from Stock Option Markets 張傳章
    2019-02-21 堅韌與超額動能策略:績效與成因;Robust and Excess Momentum Strategies: Performance and Rationale 周賓凰
    2019-02-21 極端風險及極端風險報酬的共同變動─以全球市場為例;Tail Risk and Common Variation in Tail Risk Premia around the World 王樹鳳
    2019-02-21 經濟政策不確定性對於外匯市場的影響;Impacts of Economic Policy Uncertainty in Foreign Exchange Markets 高櫻芬
    2019-02-21 機構投資人對公司績效之影響:來自國際的實證;The Impact of Institutional Investor Ownership on Firm Performance: International Evidences 徐政義
    2019-02-21 隨機優越之應用:風險偏好參數估計,健康不均度與所得不均度的衡量;Stochastic Dominance: Risk Preference Estimation, Health Inequality and Income Inequality Ordering 黃瑞卿
    2018-12-19 人民幣 TRF 之探討:設計方法、交易動機、交易爭議原因、交易相關建議及定價與風險分析;Research on the Renminbi Trf: Design Method, Trading Motive, Trading Controversy, Pricing and Risk Management. 吳庭斌
    2018-12-19 中國企業債市場信用評等尋購現象之探討:理論與實證;Rating Shopping in Chinese Enterprise Bond Market: Theory and Evidence 黃泓人
    2018-12-19 有形資產與無形資產再配置與購併綜效;Reallocation of Physical Vs. Intangible Assets and M&A Synergy 李韋憲
    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
    2018-12-19 個股選擇權投資人交易資訊與公司創新之研究;Investor Trading Information and Corporate Innovations: Evidence from Stock Option Markets 張傳章
    2018-12-19 倫理與資產定價:理論與實證;Ethics and Asset Prices: Theory and Empirical Evidence 周賓凰
    2018-12-19 堅韌與超額動能策略:績效與成因;Robust and Excess Momentum Strategies: Performance and Rationale 周賓凰

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