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    期刊論文 [27/27]
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    Showing items 1-25 of 320. (13 Page(s) Totally)
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    DateTitleAuthors
    1993-09-01 促進中小企業產業升級之研究 顏吉利; 吳忠吉
    1995-09-01 英國自營報價與法國仲介撮合交易機制的比較---法國雙上市公司股價之分析;A Comparative Analysis of Quote-Driven and Order-Driven Trading Mechanisms---SEAQ-1 vs. Paris Bourse 史綱
    1995-09-01 證券市場暫停交易機制之研究;The Performance of Circuit Breakers---The Empirical Analysis 李志宏
    1995-09-01 亞洲新興市場與全球系統性風險溢酬之研究;Risk-and-Return Analysis of Asian Emerging Markets in Global Asset Pricing Models 周賓凰
    1995-09-01 在CIR模型中習性構成效用函數與股票溢酬的關係;The Equity Premium under Time Nonseparable Utility in the CIR Model 邱慈觀
    1995-09-01 失敗處理與保險安定基金保費之估算;Insolvency Resolutions and Premiums for Insurance Guaranty Funds 俞明德
    1996-09-01 投資期限與國際分散投資組合之避險效果;Investment Horizon and Hedging for International Diversified Portfolio 何中達
    1996-09-01 什麼造成開收盤的異常高交易量---資訊不對稱或資訊不確定 ?;What Causes the Large Trading Volume at the Open and the Close---Information Asymmetry or Uncertainty? 周行一
    1996-09-01 新銀行之開放設立對銀行授信風險與監督角色之衝擊;The Impact of the Deregulation of Commercial Bank Entry Barriers on the Bank's Credit Risk and Monitoring Role 陳錦村
    1998-09-01 SIMEX及CME台股指數期貨交易對台灣股市之影響---市場波動性、流動性、過度反應及資訊不對稱之實證研究;The Effects of Taiwan Stock Index Futures Trading in the SIMEX and CME on the Taiwan Stock Market---An Empirical Analysis of Market Volatility, Liquidity, Overreaction and Information Asymmetry 李志宏
    1998-09-01 法規相關(多變量)事件研究---拔靴複製法 周賓凰
    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
    1998-09-01 美式路徑相依選擇權---效率定價與避險方法之研究---以向後看選擇權為例;Efficient Approaches for Valuing and Hedging American Path-Dependent Option---The Case of Lookback Options 張傳章; 俞明德
    1999-09-01 貨幣危機與股市波動---亞洲金融風暴之實證;Currency Crises and Stock Market Volatility---Evidence from Asian Financial Crises 何中達
    1999-09-01 跨國上市、交易制度與市場績效之研究---以台灣GDR及日本跨國上市股票於LSE上市交易為例;International Cross-Listing, Trading Systems and Market Performances---A Case Study of Taiwanese GDR and Japanese Stocks Listed on the LSE 李志宏
    1999-09-01 拔靴複製事件研究法;Alternative Tests for Event Studies---A Bootstrap Approach 周賓凰
    1999-09-01 流通性與債券報酬率---長期與短期公司債市場之研究;Liquidity and Debt Yields---An Empirical Study of Corporate Bond and Note Markets 金道嫻
    1999-09-01 亞洲式利率互換契約評價與避險之研究;Pricing and Hedging Asian-Style Interest Rate Swaps 張傳章; 俞明德
    1999-09-01 亞太區域金融市場之比較、互動與整合(II)---各國金融風暴之成因與對策---金融結構、企業舉債模式與亞洲金融風暴之互動研究;An Interaction Study between Financial Structure, Corporate Debt and the Banking Crisis in Asia 陳錦村
    1999-09-01 金融競爭、往來關係與客戶監督結構之互動研究;An Interaction Study between Competition, Relationship and the Governance Structure of Bank Clients 陳錦村
    1999-09-01 會計穩健原則對季損益的影響;Auditor Conservatism and Fourth Quarter Earnings 詹清麗
    2000-07-01 公司改組、盈餘操縱與監督機制之互動研究; An Interaction Study between Corporate Restructuring, Earnings Manipulation and Governance Mechanisms 陳錦村
    2000-07-01 交易策略績效與成因之研究; On Performance of Trading Strategies---Can They Be Explained by Characteristic-Based or Macroeconomic Factor Models? 周賓凰
    2000-07-01 美式重設認股權證評價與避險之研究; Pricing and Hedging American Reset Warrants 張森林
    2000-07-01 差額互換契約定價與避險之研究; Pricing and Hedging Differential Swaps 張傳章

    Showing items 1-25 of 320. (13 Page(s) Totally)
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