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管理學院
財務金融學系
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過度自信經理人與環境汙染之研究;Ceo Overconfidence ...
補助國內大專院校購置「臺灣經濟新報」資料庫專案
補助國內大專院校購置「Eikon with Datastream fo...
補助國內大專院校購置「Compustat on S&P Cap...
意見分歧、凸顯性與資產定價異常現象;Disagreement, Sal...
指數成分股、供應鏈與企業社會責任;Index Membership, ...
兩個有關性別差異性的公司財務議題;Two Issues on Gend...
投資人自我控制, 財務專家建議及金融消費糾紛之關聯性分析 : 以台灣為...
企業社會責任投入之動機與策略與公司價值;The Motivation ...
以序列蒙地卡羅提升高維計量模型結構式更新/學習效能的新方法及在財務與經...
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Showing items 151-175 of 320. (13 Page(s) Totally)
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Date
Title
Authors
2012-12-01
資訊不對稱衡量指標衡量了什麼?;What Do Measures of Information Asymmetry Measure?
賴弘能
2012-12-01
違約風險與股票報酬:特徵、因子與計量議題;Default Risk and Stock Returns: Characteristics, Factors and Econometric Issues
周賓凰
;
柯冠成
2012-12-01
選擇權市場是有效率的嗎?一般化頻譜分析檢定下的證據;Is Options Market Efficient? Evidence from Generalized Spectral Tests
黃泓人
2012-12-01
總體與財務時間序列中的趨勢、變化與景氣循環的波動 - 以經驗模態解構法觀點出發之比較與應用;On the Trend, Variability and Business Cycle Fluctuations in Macroeconomic/Financial Time Series - a New Empirical Model Decomposition Approach
葉錦徽
2012-12-01
競賽誘因對企業研發投資效率性影響之研究;Tournament Incentive and R&D Investment Efficiency
沈信漢
2012-09-01
探討利率衍生性商品的一致性定價及避險:LMM 利率模型;Consistent Pricing and Hedging of Interest Rate Derivatives Within the Lmm Framework
吳庭斌
2012-09-01
短期動能與長期報酬反轉現象再探;Short-Term Momentum and Long-Term Return Reversals Revisited
周賓凰
2012-09-01
EBS外匯市場委託單之資訊內涵;Information Content of Orders in the Ebs Foreign Exchange Market
高櫻芬
2012-09-01
估計選擇權隱含測度權益Beta值之一般化模型:理論與實證;A General Model for Estimating Option-Implied Measure of Equity Beta: Theories and Empirical Studies
張傳章
2012-09-01
多重資訊下不對稱之保守偏誤及確定性效果之研究;A Study on the Asymmetric Conservatism Bias and the Creditability Effect to Multiple Information Contents
陳鴻毅
2012-09-01
選擇權市場是有效率的嗎?一般化頻譜分析檢定下的證據;Is Options Market Efficient? Evidence from Generalized Spectral Tests
黃泓人
2012-09-01
補助國內大專院校購置 S&P Compustat 企業財務分析資料庫專案
楊曉文
2012-09-01
The Role of Anchoring Bias in the Real Estate Market
趙慶祥
2011-12-01
補助國內大專院校購置 Datastream 財經資訊資料庫專案
楊曉文
2011-11-01
不確定性下公司股利政策之訊號理論假說,自由現金流量假說及彈性假說之研究; A Study on Signaling, Free Cash Flow, and Financial Flexibility Hypotheses on Corporate Dividend Policy under Uncertainty
陳鴻毅
2011-08-01
一籃子匯率選擇權之評價及探討資產負債的匯率風險管理之應用;Valuation of Currency Basket Options and Their Applications in Managing Currency Risk of Assets and Debts
吳庭斌
2011-08-01
不同交易時段,交易量大小及交易人所造成的價格影響之研究:臺灣期貨交易所選擇權市場之實證;The Study on the Price Impact from the Varying Trade Time, Trade Size, and Investors: Evidence from Taifex Option Market
張傳章
2011-08-01
多重往來關係對借款企業投融資決策之影響;The Impact of Multiple Relationships on Firms’ Investment and Financing Decisions
陳錦村
2011-08-01
外匯市場之波動度與訊息不對稱程度;Volatility and Information Asymmetry in the Foreign Exchange Market
高櫻芬
2011-08-01
廠商出口決策與公司資本結構;+B6538Financial Capital Structure and Exporting Dynamics
黃鴻明
2011-08-01
利率衍生性商品之定價與避險:跳躍 LIBOR 市場模型;Pricing and Hedging Interest Rate Derivatives under the Libor Market Model with Jump Risk
吳庭斌
2011-08-01
總體與財務時間序列中的趨勢、變化與景氣循環的波動 - 以經驗模態解構法觀點出發之比較與應用;On the Trend, Variability and Business Cycle Fluctuations in Macroeconomic/Financial Time Series - a New Empirical Model Decomposition Approach
葉錦徽
2011-08-01
價格跳躍與共躍的價格變異效果探究與測度-高頻資料的解析;Understanding and Measuring the Price Impact of Jumps and Cojumps - a High Frequency Resolution
葉錦徽
2011-08-01
兩地掛牌公司會計議題研究;Accounting Issues on Cross-Listed Firms
王曉雯
2011-08-01
資訊不對稱衡量指標衡量了什麼?;What Do Measures of Information Asymmetry Measure?
賴弘能
Showing items 151-175 of 320. (13 Page(s) Totally)
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